Insight Investment

Absolute Return

Why is the journey as important as the destination?

Insight have been managing absolute return funds since 1998. Over the last few years we have invested significantly in our absolute return infrastructure, adding professional expertise to build on traditional fund management capability.

At Insight we offer an extensive range of funds with differing strategies and risk profiles which target returns in excess of cash to accommodate varying client needs.

As an experienced absolute return fund manager, we seek to produce positive returns in varying market conditions – therefore giving a more predictable and less volatile route to adding value. This contrasts with the traditional investment management objective of beating an index or competitor benchmark.

Our cash fund range includes the more conservatively managed liquidity funds and also an enhanced sterling LIBOR-based fund; the LIBOR Plus Fund.

Moving up the risk return spectrum we have the Loan Fund, Bonds Plus Fund and the Broad Market Bonds Plus Fund all managed by our accomplished fixed income team.

Our Absolute Insight UK Equity, Currency, Emerging Market Debt and Credit funds use UCITS III powers to invest in both long and short positions while maintaining a market neutral exposure.

Absolute Insight

The Fund is a fund-of-funds designed to offer consistent absolute returns with lower volatility. Its key investment objective is to aim to deliver attractive, positive absolute returns for investors in all market conditions.

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AI UK Equity Market Neutral Fund

The Fund invests both long and short in UK equities while maintaining a neutral market exposure, seeking a positive absolute return regardless of the direction of the market.

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AI Credit Fund

The Fund aims to provide attractive, positive absolute returns in all market conditions through the use of fully flexible long and short credit strategies.

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AI Currency Fund

The Fund aims to provide attractive, positive absolute returns in all market conditions. It also aims to generate longer-term capital growth primarily by maintaining well diversified exposure to a wide range of global currencies.

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AI Emerging Market Debt Fund

The Fund aims to provide positive absolute returns over rolling 12-month periods, together with longer-term capital growth.

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Loan Fund

The Fund invests in loan and debt securities with the aim of providing investors with superior returns over a market cycle.

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LIBOR Plus Fund

The Fund aims to produce an annual interest based return, primarily through investment in a portfolio of asset backed and corporate FRNs.

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Global Diversified Return Fund

The Fund aims to produce attractive, consistent returns, with a low level of volatility targeting returns in excess of cash over the course of a market cycle.

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Bonds Plus Fund

The Fund is an actively managed fixed income fund targeting attractive returns in excess of cash interest rates.

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Broad Market Bonds Plus Fund

The Fund is an actively managed fixed income fund targeting attractive returns in excess of those of a broad UK bond market index.

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Broad Opportunities Fund

The Fund is a dynamic tactical asset allocation vehicle targeting 3% over 3-month LIBID.

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