Pamplona FOF I Global Limited
- In January 2011, Pamplona FOF I Limited (“FOF I”), our global multi-strategy fund of hedge funds and Pamplona FOF EM Limited (“FOF EM”), our emerging markets fund of hedge funds, were converted into one private managed account for the original seed investor in FOF I and FOF EM
- All other investors in FOF I and FOF EM were transferred to Pamplona FOF I Global Limited ("FOF I Global"), a new co-mingled fund set up to invest pari passu with the new FOF I managed account
- The investment strategy of FOF I Global encompasses a broad range of hedge fund strategies including equities, macro, managed futures and emerging markets
- FOF I Global and FOF I have combined net assets of $600m
Investment Objectives
- Targets long term, positive risk adjusted rate of return
- Targets annualised monthly volatility of less than 5%
- Reduces correlation to traditional asset classes
Investment Strategy
- Conservative approach focused on capital protection
- Diversified by region, sector, asset class and investment strategy
- Focus on experienced fund managers
Fund Structure
- Cayman domiciled fund
- Aimed at non-US investors and US tax-exempt investors
- Low minimum investment of USD 100,000
