788 ASSET MANAGEMENT
788 ASSET MANAGEMENT LTD. manages a range of DIRECTIONAL Funds that use LEVERAGE and ACTIVE TRADING to generate MAXIMUM PERFORMANCES.
The funds are active in the fields of Global Macro Asset Allocation, Japanese equities, Chinese equities and Small Cap Chinese equities.
With a view to deliver maximum performance, Leverage is used on a constant basis, usually through the active management of Future contracts. The Manager can go long or short and aims at benefitting from market trends, within the context of in-depth macro economic analysis.
The Investment process consists of an in-depth macro economic analytical process that has demonstrated a remarkable record in predicting global economic scenarios, including the 2008 crisis, and flow of funds, valuation and technical analysis for the determination of entry points and exit points to trade trends that may last weeks, months or years.
Considering the high level of volatility that goes with the use of Leverage, valuation / liquidation frequency is quarterly,
The 788 RANGE OF FUNDS should be considerd as LONG TERM INVESTMENT VEHICULES to gain LEVERAGED EXPOSURE to promising markets, with a view to generate MAXIMUM PERFORMANCE for professional investors who have a VERY LARGE TOLERANCE TO VOLATILITY.
As such, they should only be acquired by seasoned investors who have the stomach for large and lasting unrealized losses.
The 788 range of Funds is one of the very few ways to gain TRULY LEVERAGED exposure to Japan and China.