1798 Fundamental Strategies


General information

Asset Class Alternatives
Category Fund of Hedge Funds
Fund base currency USD
Share Class reference currency GBP
Dividend Policy Accumulated
Total Assets (all classes) in mn GBP 887.74 31.05.2016
Number of positions - -
TER 2.30% 31.12.2014


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Risk rating

Lower risk Higher risk
Typically lower reward Typically higher reward

Past performance is not a guide to future performance. The performance data do not take account of the commissions and costs incurred on the issue and redemption of units, performance is presented net of fees. The NAV of fund units and official prices of benchmarks are used for performance comparison purposes. Source of the figures: Lombard Odier.

Performance & statistics

Total Return 32.78%
Annualized Return 3.52%
Annualized Volatility 6.28%
Sharpe Ratio 0.46
Downside Deviation 3.67%
Positive Months 50.51%
Maximum Drawdown -11.09%
*  Risk-Free Rate 0.61% Target Rate 0.61%
Calculations based on monthly time series
Earliest Date: 30.01.2012, Latest date: 30.03.2020


With more than 8 years of track record, the 1798 Fundamental Strategies Fund is a multistrategy fund that combines the best expertize of 1798, the LOIM hedge fund platform. The capital allocation committee is composed of seasoned investors who’s role is to select teams of talented and differentiated hedge fund managers and allocate capital to them to capture the best opportunity set. The Fund targets net returns of 8% with volatility around 8% in every economic cycles, independently of whether it is a bull or bear market. Also, the Fund aims at offering diversification to a global portfolio. As a result, It is intended that the Fund should have low directionality and thus low correlation to traditional asset classes. At the underlying strategies level, risk is monitored real time by the 1798 risk team who has full transparency on all positions, controls risk limits through proprietary tools and can enforce risk reduction if necessary. Investing in 1798 internal hedge funds only, enables Lombard Odier to better control risks and efficiently allocate capital due to full transparency.


This information is not available for this fund at the moment.


1798 Capital Allocation Committee

Security numbers


Subscriptions and redemptions frequency Monthly
Redemptions cut-off day T-30
NAV valuation point T
NAV calculation frequency Monthly
Minimum Investment USD 100'000 or equivalent
Management Fee 0.50%
Performance Fee None (investing in underlying funds with 20% performance fee)

Security Numbers

ISIN KYG675284668
TELEKURS 14876499



Prices over selected period

Last GBP 0.00 30.03.2020
First GBP 0.00 30.01.2012
Highest GBP 0.00 30.03.2020
Lowest GBP 0.00 30.01.2012
* Earliest Date: 15.11.2007, Latest date: 30.03.2020


Professional investors only

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UK Reporting Status - Reportable Income

Legal Documents

Offering Memorandum