ASA offers a range of commingled funds that enable investors to build diversified portfolios across asset classes, thematic strategies, liquidity profiles, and risk exposures.
ASA Wealth Strategy seeks to generate returns through capital growth and income generation by investing in a globally diversified portfolio that combines multiple asset classes, including equities, fixed income, and liquid and semi-liquid alternative strategies, with the goal of enhancing client diversification and optimizing the risk-return ratio.
ASA Allocation Fixed Income Strategy seeks to generate returns through income generation and capital appreciation in the medium and long term, investing in a globally diversified portfolio of fixed income assets and credit-related strategies. The portfolio managers implement a multi-sector fixed income strategy, primarily focusing on debt instruments denominated in US dollars, while maintaining flexibility to invest in local currency securities, including those issued by sovereign issuers and emerging market companies.
ASA Allocation Equities Strategy seeks to generate returns through capital appreciation and income generation in the medium and long term by investing in a globally diversified portfolio of equity-related assets. The strategy provides exposure to equities with focus in developed markets, spanning different regions, sectors, and systematic factor premiums, including value, size, momentum, quality, low beta, carry, and others.
ASA Allocation Hedge Fund Strategy aims to deliver returns above the short-term US interest rate, regardless of the market environment. The strategy pursues this goal by investing in absolute return-oriented hedge funds, with a diversified selection of hedge funds spanning different strategies, sectors, and regions. Its objective is to generate positive returns while maintaining low correlation with traditional asset classes such as equities and fixed income.
ASA Short Term Bonds Strategy aims to generate returns through income generation and capital appreciation over the short to long term by investing in a globally diversified portfolio of conservative fixed income and credit-related investments.
ASA Bonds LATAM Strategy aims to generate returns through income and capital appreciation in the medium to long term, investing in a diversified portfolio of USD-denominated bonds from Latin American issuers.
ASA Allocation Private Credit Strategy seeks to generate returns through exposures to corporate and real estate credit in the United States, with limited allocations in other geographies. The strategy invests in a concentrated group of managers seeking to capture long-term opportunities in the private credit markets in a diversified manner.
ASA Allocation Private Equity Strategy seeks to generate returns through exposure to private companies in the United States, with limited allocations in other geographies. The strategy invests in a concentrated group of managers seeking to capture long-term opportunities in the private equity markets in a diversified manner.
ASA Allocation Real Assets Strategy seeks to generate returns through exposure to assets in the real estate, infrastructure, and natural resources sectors. The strategy invests in a concentrated group of managers who seek to capture long-term opportunities in these sectors in a diversified manner.
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