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Hedge Fund of Funds Overview |
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AIG Investments' multi-manager strategy strives to generate consistently positive returns with lower volatility and low correlation to traditional equity and bond markets while preserving capital through rigorous risk management. Our hedge fund of funds team provides advice and asset allocation related to hedge fund managers and separate account investments. We believe the success of our program lies in our distinctive advantages. Our knowledge and experience, staff continuity, alignment of interests, buy-side approach, inimitable access to relationships and intensive four-pronged investment strategy have enabled us to achieve successful results through full market cycles and provide our clients with quality returns and relative safety.
AIG Investments Advantages
- Significant and experienced investor in hedge funds: AIG Investments has been managing its multi-manager strategy for more than 20 years, and since 1988, one or more members of the current hedge fund of funds team has been primarily responsible for every investment selection.
- Buy-side approach: AIG Investments takes a pure buy-side approach to investing and does not own any part of the hedge funds in our portfolio, nor do we have outside relationships with the managers.
- Balanced and controlled decision-making process: Our decision-making relies on the partnerships that exist between our portfolio managers, analysts and the Approval Committees, which are comprised of senior executives who contribute a wealth of experience and industry knowledge.
- Access through the AIG Investments global network: Our relationships often allow us to gain rapid and high-level access to senior management in companies which can provide valuable insight and information concerning markets to which hedge fund managers allocate assets. Additionally, our sophisticated asset management network and can leverage the expertise of our industry specialists within our public equity and fixed income departments.
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