Today, Pioneer Investments has a presence in 27 countries worldwide, relies on an experienced team of over 2,000 employees globally, of which more than 330 are investment professionals and manages assets worth €165 billion as at 30 June 2013.
Pioneer Investments began managing assets under hedge fund mandates in 1999. Our FoHF product range includes a suite of multi-strategy and specialised portfolios covering a risk spectrum from low to high volatility, with each product benefiting from strong infrastructure and process.
As at 30 June 2013, Pioneer’s FoHFs assets under management were $1.3 billion.
Our funds aim to achieve consistent, absolute returns that are uncorrelated to global equity and bond markets; we believe that capital preservation is of paramount importance to investors. Consistent with that principle, we aim to manage risk rather than avoid risk. We have therefore designed a rigorous risk management framework, which allows us to model and manage risk in a unified manner. Portfolios are regularly stress tested to ensure funds can withstand the unexpected events that affect markets.
The portfolio management and research teams form a part of an institutional framework supported by a talented team utilising a consistent process. The FoHFs investment team’s structure aligns analysts within specific strategy areas so as to provide in-depth expertise in the strategies into which our portfolios invest, while an Operational Due Diligence and Risk Analysis Team enhances the research with a dedicated expertise focused solely on non-investment related risks.
Diversified / Multi Strategy Fund of Hedge Funds:
Specialised / Niche Fund of Hedge Funds: