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      • PrivilEdge - Graham Quant Macro, Syst. Hdg, (GBP) M A

      PrivilEdge
      Graham Quant Macro

      Syst. Hdg, (GBP) M A
        ISINLU2183934541

        PrivilEdge - Graham Quant Macro, Syst. Hdg, (GBP) M A

        ISINLU2183934541
        funds listsustainability report

        General information

        Morningstar
        Asset ClassAlternatives
        CategoryUCITS Hedge Fund
        StrategyLiquid Alternatives Strategies
        Fund base currencyUSD
        Share Class reference currencyGBP Hedged
        Dividend Policyaccumulated
        Total Assets (all classes) in mnGBP 117.7230.04.2025
        Assets (share class) in mnGBP 0.9130.04.2025
        Number of positions5331.03.2025
        TER1.38%30.09.2024

        Documents

        Key Information Document
        English (pdf)
          Prospectus
          Français (pdf)
            Fact Sheet (marketing document)
            English (pdf)

              Risk rating

              Lower riskHigher risk
              1
              1
              2
              2
              3
              3
              4
              4
              5
              5
              6
              6
              7
              7
              Typically lower rewardTypically higher reward
              Past performance is not a guarantee of future results. If the funds are denominated in a currency other than that in which the majority of the investor's assets are held, the investor should be aware that changes in rates of exchange may affect the value of the funds' underlying assets. The portfolio risk management process includes an effort to monitor and manage risk, but does not imply low risk.
              • Performance & Statistics
              • Highlights
              • Breakdowns
              • Managers
              • Legal information
              • Dealing
              • Security Numbers
              • Prices
              • Documents

              Performance & Statistics

              Rolling 12 months Performance (%)Cumulative performance (%)Annualised performance (%)
              Loading...
              As of 
              Share Class (Net)
              Benchmark
              Sorry, we could not retrieve the data for this share class.
              Any benchmarks/indices cited herein are provided for information purposes only. No benchmark/index is directly comparable to the investment objectives, strategy or universe of a fund.
              Loading...
              As of 
              Share Class (Net)
              Benchmark
              Sorry, we could not retrieve the data for this share class.
              Any benchmarks/indices cited herein are provided for information purposes only. No benchmark/index is directly comparable to the investment objectives, strategy or universe of a fund.
              Loading...
              As of 
              Share Class (Net)
              Benchmark
              Sorry, we could not retrieve the data for this share class.
              Any benchmarks/indices cited herein are provided for information purposes only. No benchmark/index is directly comparable to the investment objectives, strategy or universe of a fund.
              Since launch
              • 1 month
              • 3 months
              • 6 months
              • 1 year
              • 3 years
              • 2025 YTD
              • 2024 YTD
              • 2023 YTD
              • 2022 YTD
              • 2021 YTD
              • Since launch
              • Custom
              Export
              pdfjpgpngsvg
              csvxls
              Fund
              Total Return13.61%
              Annualized Return2.63%
              Annualized Volatility10.56%
              Sharpe Ratio-0.01
              Downside Deviation7.76%
              Positive Months58.33%
              Maximum Drawdown-16.59%
              *  Risk-Free Rate 2.72%Target Rate 2.72%
              Calculations based on monthly time series
              Earliest Date: 17.06.2020, Latest date: 07.05.2025

              Key risks

              The following risks may be materially relevant

              but may not always be adequately captured by the synthetic risk indicator and may cause additional loss:


               
              Operational risk and risks related to asset safekeeping: In specific circumstances, there may be a material risk of loss resulting from human error, inadequate or failed internal systems, processes or controls, or from external events.
               
              Risks linked to the use of derivatives and financial techniques: Derivatives and other financial techniques used substantially to obtain, increase or reduce exposure to assets may be difficult to value, may generate leverage, and may not yield the anticipated results. All of this could be detrimental to fund performance.
               
              Model Risk: Models may be misspecified, badly implemented or may become inoperative when significant changes take place in the financial markets or in the organization. Such a model could unduly influence portfolio management and expose to losses.
               

               

              Highlights

              PrivilEdge - Graham Quant Macro is a directional, long and short strategy that utilizes fundamental and price-based indicators to establish return forecasts across global interest rates, foreign exchange and stock indices. The strategy incorporates a variety of submodels that generate macro fundamental forecasts, assess yield and earnings differentials, compare current valuations relative to historic fair value, and analyze directional price trends across markets. Quantitative risk management and portfolio construction techniques are used to diversify risk across the portfolio and enhance risk-adjusted returns. Historically, the average holding period has been approximately eight to ten weeks, although the sub-models will make daily adjustments to positions. The strategy is designed to have low correlation to traditional markets and other alternative strategies and has the potential to provide significant portfolio diversification benefits.

              Breakdowns

              March 2025

                Gross Exposure (AS % OF NAV)

                Equities0.00% 38.50%
                FX0.00% 89.10%
                Fixed Income0.00% 83.10%
                UCITS Commodities0.00% 284.20%
                Total Inv0.00% 495.00%

                Net Exposure (AS % OF NAV)

                Equities0.00% 25.40%
                FX0.00% -86.90%
                Fixed Income0.00% 64.70%
                UCITS Commodities0.00% 40.10%
                Total Inv0.00% 43.20%

                Gross Exposure by Country (AS % OF NAV)

                Asia0.00% 6.50%
                Australia/NZ0.00% 23.10%
                Canada0.00% 30.40%
                Eurozone0.00% 59.80%
                Japan0.00% 12.80%
                Latin & South America0.00% 1.10%
                Switzerland0.00% 14.80%
                United Kingdom0.00% 22.60%
                United States0.00% 323.90%

                Net Exposure by Country (AS % OF NAV)

                Asia0.00% 6.50%
                Australia/NZ0.00% -6.90%
                Canada0.00% -3.10%
                Eurozone0.00% -2.40%
                Japan0.00% -6.40%
                Latin & South America0.00% 1.10%
                Switzerland0.00% -14.80%
                United Kingdom0.00% 16.40%
                United States0.00% 52.90%

                Managers

                Graham Capital Management, L.P.

                Legal information

                General information

                DomicileLuxembourg
                Legal FormSICAV
                Regulatory StatusUCITS
                Registered inBE, CH, DE, ES, FR, GB, LI, LU, NL
                Class launch date17.06.2020
                Close of financial year30 September
                Dividend Policyaccumulated

                Fiscal Information

                DE Investmentsteuergesetz (InvStG)Other Funds
                AT Investmentfondsgesetz (InvFG)Declared Fund
                UK Reporting StatusYes

                Management Company & Agents

                Management CompanyLombard Odier Funds (Europe) S.A.
                CustodianCACEIS Bank, Luxembourg Branch
                AuditorPricewaterhouseCoopers
                Portfolio valuationCACEIS Bank, Luxembourg Branch

                Dealing

                Dealing

                Subscriptions and redemptions frequency daily
                Subscriptions and redemptions cut-off dayT-1
                Subscriptions and redemptions cut-off time15:00 CET
                Subscriptions and redemptions settlement dateT+2
                NAV valuation pointT
                NAV calculation dayT+1
                NAV calculation frequencydaily
                Minimum InvestmentEUR 3'000 or equivalent
                Management Fee1.20%
                Distribution Fee0.00%
                Performance Fee15% High Watermark

                Security Numbers

                BLOOMBERGPRGQMSG LX
                ISINLU2183934541
                SEDOLBMBKJ38
                TELEKURS55072681

                Prices

                Since launch
                • 1 month
                • 3 months
                • 6 months
                • 1 year
                • 3 years
                • 2025 YTD
                • 2024 YTD
                • 2023 YTD
                • 2022 YTD
                • 2021 YTD
                • Since launch
                • Custom
                Export

                Prices over selected period

                LastGBP0.0011.3607.05.2025
                FirstGBP0.0010.0017.06.2020
                HighestGBP0.0013.7615.04.2024
                LowestGBP0.009.6623.02.2022
                * Earliest Date: 17.06.2020, Latest date: 07.05.2025

                Documents

                Annexe

                UK Reporting Status - Reportable Income
                31.03.2025
                English (pdf)

                  Reporting

                  Fact Sheet (marketing document)
                  31.03.2025
                  English (pdf)
                    Performance Review
                    31.03.2025
                    English (pdf)

                      Legal Documents

                      Notice to Shareholders
                      29.01.2025
                      Français (pdf)
                        30.08.2024
                        Français (pdf)
                          12.01.2024
                          Français (pdf)
                            Key Information Document
                            28.01.2025
                            English (pdf)
                              Prospectus
                              01.10.2024
                              Français (pdf)
                                Annual Report
                                30.09.2024
                                English (pdf)
                                  Semi-Annual Report
                                  31.03.2024
                                  English (pdf)
                                    Articles of incorporation
                                    20.05.2019
                                    English (pdf)

                                      Retail investors

                                      Newsletter CP
                                      31.03.2025
                                      English (pdf)

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