The strategy’s research program is driven by teams from other asset classes or themes (Specialist Strategies, Portfolio Management, Equities, Fast Strategies and Core Strategies) who are responsible for their respective models (existing and new models). The portfolio managers of the AHL Alpha Program are Matthew Sargaison, Co-CEO of Man AHL and Russell Korgaonkar, CIO of Man AHL.
Investment Process
The Strategy invests in approximately 500 international markets across a range of sectors, utilizing instruments such as securities, futures, options, forward contracts, swaps, CFDs and other financial derivatives. The Strategy can also gain exposure to sectors via stocks, debt, bonds, currencies, short-term interest rates, energies, metals, credit and agriculture.
Historical low correlation to traditional assets classes such as equities and bonds
Given the focus on Diversification, capital is allocated using a quantitative and systematic methodology to maximise diversification and avoid investment style bais. This aims to deliver low correlation to traditional assets such as equities and bonds.
Solid Performance
Historically, the fund has delivered strong returns in equity market selloffs, albeit past performance is not an indicator of future performance, it is an indicator that the strategy has performed in the past. The fund delivered significant downside protection during market sell-offs – Covid – 19 market selloffs +5.8 per cent v/s S&P 500 Index -19.6 per cent v/s MSCI World -19.6 percent, fourth quarter in 2018 selloff +3 percent v/s S&P 500 Index -13.5 percent v/s MSCI World -12.9 percent, Eurpean debt crisis +5.3 percent v/s S&P 500 -13.8 percent v/s MSCI World -15.4 percent and GFC +25 percent v/s S&P 500 Index -49.2 percent v/s MSCI World -49.3 percent.
Downside Risks
- Significant turnover in the Broader Investment team.
- Investment strategy (trading systems) fails to yield alpha.
- Uses of derivatives and leverage adds additional risks and complexity.
Investment Approach
Fund Performance
Figure 1: Fund performance (as ofAug-21)–strategy has an absolute return target
(%) | Fund (net) | ||
1-mths | +0.0% | ||
Year-to-date (YTD) | +6.5% | ||
1-year | +10.4% | ||
3-year (p.a.) | +7.3% | ||
5-year (p.a.) | +4.3% | ||
Inception (p.a.) | +5.2% | ||
Annualised volatility | 8.8% |
Source: Man Group
About the Fund
The fund employs a systematic, statistically based investment strategy to exploit technical or price driven signals across a diverse range of global markets. The main strategy used in trend following i.e price trends (up or down) repeatable pattern ~ 500 international markets the fund can access. The portfolio invests in instruments such as Securities, Futures, Options, Forward contracts, Swaps, CFD and other derivatives, the strategy has an absolute return focus with target volatility of 10% p.a.
Company Profile
Man group is a global investment manager offering investors a diverse range of specialist active strategies and manages over US$135 billion globally. The company has headquarters in London but a globally network of offices. The company employs an extensive team of scientists, technologies and financial professionals.
General Advice Warning
Any advice/ information provided is general in nature only and does not take into account the personal financial situation, objectives or needs of any particular person.