N1 Fund is a multi strategy fund of funds that invests in a basket of some of the best performing hedge funds in the world. For years, our firm has been committed in building an optimal portfolio that allocates capital to multiple strategies and in multiple international markets worldwide. The objective of N1 Fund is to achieve a relatively high and consistent profit at a justifiable risk. The volatility of the results should be less than the one of the stock markets and the results shall not or only slightly correlate with equity and fixed income markets.

Hedge funds in the fund universe are not selected based on personal biases but are selected based on objectivity and whether or not it is ranked superior to other funds using our in-house scoring system. Once it is apparent that quantitative analysis agrees with the investment committee's fundamental views in the market, the investment committee may then make decisions to include the fund in the portfolio.

The firm truly believes that healthy returns can be generated through a combination of careful risk management and diversification. We believe the volatility of results can be reduced through the sensible implementation of the following measures:

Furthermore, due to the flexibility of hedge funds as opposed to traditional funds, N1 Fund may invest in strategies that employ the use of derivatives including futures and options, forward contracts, and exchange traded and over the counter instruments. In order to enhance gains for clients, N1 Fund may also use leverage conservatively and monitor sub-funds on an ongoing basis.

Through careful risk management techniques and optimal asset allocation, it is the firm's goal to construct a well-balanced portfolio while generating absolute returns with limited volatility.