Fidelis Macro Global Fund

ABOUT US

Fidelis Macro Global Fund is a truly global fund for individual and institutional investors seeking exposure to international markets.

Our investment strategies are based on quantitative research with innovation adhering to strict risk management principles aimed at generating consistent returns. Our culture demands and rewards analytical rigor and adherence to the highest ethical and legal standards. We believe that; a transformative idea that ultimately works in ever changing market is – to change with market and modify strategy and to constantly look for a new trading model. We’ve learned that when an extraordinary team sets extraordinarily ambitious goals, astonishing breakthroughs can be achieved.

Core Strategies

Quantitative – market-neutral strategy is at the core of our trading portfolio.

Capabilities

Our competitive advantage lies in our trading team which has a deep pool of talent.

Investment Philosophy

Tried, Tested and Trusted Strategy designed to protect and grow your investments.

Diversification,market liquidity and risk management are at the core of our investment philosophy. A multi asset, multi geography market coverage, catering only to highly liquid market instruments.

Fidelis Macro Global Fund

Self Managed, Open Ended, Multi Class, Expert Fund.

Investment Objective

To generate long term absolute return by taking exposure into a range of global asset classes.

Regulation

Incorporated in Mauritius as a private company limited by shares under The Companies Act, 2001 and holds a Category 1 – Global Business License to operate as a Collective Investment Scheme.