Our Funds
AHP Asia Credit Opportunities Segregated Portfolio “ACO”
[ISIN# KYG0123S1295]
“ACO” invests primarily in liquid debt securities issued by Asian issuers or entities controlled by
Asian issuers.
AHP Long Short Equity Segregated Portfolio “LSE”
[ISIN# KYG0123S1600]
“LSE” invests primarily in Asia-Pacific technology and consumer equities to generate absolute returns with low volatility.
AHP Fixed Income Segregated Portfolio “SFI”
[ISIN# KYG0123S1113]
“SFI” invests primarily in short dated high-grade fixed income securities issued by governments, agencies or supra-nationals and high-quality corporates to generate stable and consistent returns.
AHP Global Unconstrained Fixed Income Segregated Portfolio “GUF”
[ISIN# KYG0123S1527]
“GUF” invests primarily in debt, convertible or hybrid securities by global issuers.
Equity Solutions Actively Managed Certificate “EQS”
[ISIN# XS2103978768]
“EQS” seeks long term capital appreciation in undervalued mid- to large-cap companies in developed markets globally.
Focused Returns Actively Managed Certificate “FR”
[ISIN# XS2280696803]
“FR” is a high-conviction equity portfolio built to capture long-term value by investing in resilient, industry-leading companies with proven cash flows and durable competitive advantages.
China Ascent Actively Managed Certificate “CA”
[ISIN# XS2281104690]
“CA” focuses on China A and H share equities, especially mid-cap industrial and tech “rising stars’ poised for multi-year growth, targeting China’s next corporate leaders.
Awards and Nominations


HIGHLY COMMENDED FUND
CREDIT CATEGORY 2015



Shortlisted,
Best Performing
Asian Based
Credit Fund




2014
NOMINEE: CREDIT



2015
NOMINEE: CREDIT
2016
NOMINEE: CREDIT
2017
NOMINEE: CREDIT

NOMINEE
Fixed Income, High Yield
& Distressed

NOMINEE
Fixed Income, High Yield
& Distressed
NOMINEE
Fixed Income, High Yield
& Distressed

