AFA is proud to hold a diversified portfolio across equities, bonds, commodities, and real assets utilizing strategic instruments to realize maximum value. A diversified approach ensures a steady return to unit-holders regardless of the business cycle faced across industries.
A smart hedge philosophy is implemented to protect gains against strong shifts in macroeconomic forces. Strategic entries with tight stop-losses allow for favorable risk-managed trades. Defined upside targets ensure to protect profits and remain agile in changing economic environments.
We seek out favorable investment opportunities in a variety of industries. Optimal capital allocation and portfolio sizing enables significant upside potential to higher return opportunities. A value driven approach to high growth assets helps return value to our investors.