Global Diversification und Diversified Trends für die HFM Awards

Transcription

Global Diversification und Diversified Trends für die HFM Awards
1741 Global Diversification et 1741 Diversified Trends nominés aux HFM
Awards 2013
Les European Hedge Fund Performance Awards seront décernés le 25 avril 2013 à Londres. Cet événement reconnaît et récompense la performance extraordinaire des principaux hedge funds d’Europe au
cours des douze derniers mois. Les stratégies 1741 Global Diversification et 1741 Diversified Trends de
1741 Asset Management SA ont été nominées dans les catégories «Quantitative Strategy» et «NewcomerCTA».
Daniel Leveau, CEO de 1741 Asset Management SA: «Nous sommes extrêmement heureux que deux de
nos stratégies aient été nominées simultanément pour les HFMWeek European Hedge Fund Performance
Awards. Nous sommes honorés que nos performances soient reconnues pour la troisième année consécutive et que nous puissions nous mesurer à d’autres éminents gérants de fortune.»
Qui sommes-nous?
1741 Asset Management SA est l’un des principaux gérants de stratégies quantitatives en Suisse. Elle bénéficie d’une expérience de plus de dix ans dans la gestion d’indices alternatifs pour les clients institutionnels.
Pour davantage d’informations relatives à cet article ou à 1741 Asset Management SA, vous pouvez nous
contacter par e-mail à l’adresse [email protected] ou par téléphone au +41 58 458 49 30.
To the extent this document is available within the European Economic Area and in South Africa it is issued by 1741 Asset Management Funds SICAV ("the Fund"), an openended umbrella investment company organised as a UCITS under the laws of the Grand Duchy of Luxembourg, in particular part I of the Law of 17 December 2010. To the
extent this document is available outside of the European Economic Area or South Africa it is issued by 1741 Asset Management Ltd., a Swiss registered management company
having the form of a limited company and supervised by the Swiss Financial Market Supervisory Authority. Information contained herein is intended only for professional
investors. Any unauthorized use of this information by any person or entity is prohibited. The distribution of this document may be further restricted by law. Accordingly, this
document may not be used in any jurisdiction except under circumstances that will result in compliance with any applicable laws and regulations. This document is not intended
to constitute neither a recommendation nor an offer to conclude any legal transaction. In particular, it does not constitute an offer or solicitation with regard to the subscription
of any sub-fund of the Fund nor does it constitute an offer or solicitation in any jurisdiction, including those in which such an offer or solicitation is not authorised or to any
person to whom it is unlawful to make such a solicitation or offer. Past performance is not indicative of future returns. The value of investments and income from them can
fluctuate and are not guaranteed. Investors may not get the money back they invest. Investors are recommended to consult their investment advisor prior to reaching any
investment decisions. The information contained in this document may be changed any time and without prior notice. The Fund is only available for subscriptions by non-US
citizens who are not residents of the United States. It is not offered for sale or sold in the United States, its territories or possessions. The Fund is not registered for public
distribution in all jurisdictions. Subscriptions in the Fund are valid only if made on the basis of the current prospectus, the most recent financial reports and the key investor
information documents. With regard to the distribution of the Fund in Switzerland the Fund has appointed 1741 Asset Management Ltd, Bahnhofstrasse 8, CH-9001 St. Gallen,
as Representative and Notenstein Private Bank Ltd, Bohl 17, CH-9004 St. Gallen, as Paying Agent from where the articles of incorporation, the prospectus, the annual and semiannual reports and the key investor information documents may be obtained free of charge. Although the information in this document is believed to be materially correct, no
representation or warranty is given as to the accuracy of any of the information provided. Certain information included in this document is based on information obtained from
sources we consider to be reliable. However, no liability is assumed for the completeness, correct-ness or accuracy of the sources and data retrieved therefrom. However, any
projections or analysis described herein may be based on subjective assessments and assumptions and may use one among alternative methodologies that produce different
results. Accordingly, any projections or analysis should not be viewed as factual and should not be relied upon as an accurate prediction of future results. 1741 Asset Management Ltd. and 1741 Asset Management Funds SICAV, their directors, officers and employees do not accept any liability whatsoever for any loss or damage arising from any use
of this document or the use of information contained in this document.