Fusion Long Volatility
Fusion Long Volatility is a pure long optionality investment strategy designed to deliver consistent returns, particularly during periods of high volatility and market stress. The Long Volatility portfolio consists of diversified positions across Equities, FX, Fixed Income, Credit and Commodities. The strategy is negatively correlated to the underlying asset classes and at least 25% of the NAV is invested at all times to ensure that market disruption events and crashes are captured.
Fusion Long Volatility Fact Sheet (pdf, 92k)
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