Our risk-adjusted equity investment strategies are designed to take advantage of developing positive trends while ensuring that assets are not affected by volatility or weak market cycles.
In terms of alternative opportunities we aim to provide our clients with compelling returns across multiple strategies ranging from private equities to distressed debt.
With an emerging market experience of 10 years, we deliver dynamic, long-term, absolute return as well as hedge funds solutions in terms of both sovereign and corporate debt.
Charles Vandeursen possesses a wide-range of resources dedicated to its fixed income competencies, with its specialists headquartered in Tokyo.
Charles Vandeursen’s dynamically managed long-term commodity strategy was created to offer extensive commodity exposure in international development trends.
Since 2006 the hedge fund team at Charles Vandeursen has delivered consistent outcomes by targeting total returns.