We believe that long-term risk-adjusted performance is best achieved through the use of best-in-class investment managers who are constantly mindful of the preservation of capital and prudent return opportunities.
Our philosophy is based on the desire to deliver the broadest range of alternatives exposure in a single vehicle actively managed by PTA and its sub-advisers.
We believe the benefits of such an alternatives portfolio, when combined with existing portfolios is lower sensitivity to traditional market risks. Our investment strategies are based on a sophisticated selection of managers. We seek to create a diversified mutual fund portfolio of alternative strategies with low intra-correlation between strategies, low volatility, daily valuation and complete transparency.
Past results are not necessarily indicative of future results. There is no guarantee that any investment will achieve it's objectives, generate profits or avoid losses. 0543-NLD-2/28/2013