All-in-one multi-asset investing

AlphaPredictor Multi-Asset Defensive Fund

AlphaPredictor is a forwards looking asset allocation engine, drawing on thousands of data points, to determine which are the right assets to hold at the right time, and then dynamically position accordingly
45 %

GLOBAL EQUITY EXPOSURE

30 %

GLOBAL BOND EXPOSURE

5 %

ALTERNATIVES EXPOSURE

4

SYNTHETIC RISK & REWARD

Fund Highlights

1

Systematically managed multi-asset approach.

2

Exposure to 9 broad asset classes with 51 sub-asset groups.

3

The AlphaPredictor® Model drives the funds allocation/return removing active manager risk.

4

15yr annualized returns of 8.81%* Vs 5.47% (70% equity benchmark).

*These figures are based on the back-tested AlphaPredictor® model performance vs the funds benchmark. Past Performance of any kind, actual or simulated, is not a reliable indicator of future performance.

Investment Highlights

1- Systematic multi-asset investment strategy driven by the AlphaPredictor® model.
2- AlphaPredictor® model has been designed in conjunction with world-renowned academics in the financial market behaviour: Parala Capital LLP (“Research Provider”).
3- Removes active manager risk.
4- Targets outperformance of its equivalent risk-rated passive investment strategy.

Investment Philosophy

The AlphaPredictor® Model uses the latest economic data to determine a forwards looking asset allocation, drawing on academically verified historical relationships between macro data and asset prices.

Understanding Macro Cycles

Macro-economic cycles significantly influence asset prices.
Macro-economic indicators such as interest rates, credit spreads, inflation and money supply are used to identify and measure changing economic conditions.
These indicators show significant but time varying correlations with asset prices.
The AlphaPredictor® Model identifies the most appropriate portfolio of assets for the current stage of the economic cycle.

Reasons To Invest

Global Diversification: Model universe considers optimal risk/reward asset allocation across 51 different exposures.
Consistency in Approach: Systematic asset allocation removes active manager risk.
Dynamic Risk Management: As economic conditions change, so does the fund exposure.
One stop shop: The PC Macro Multi-Asset Defensive Fund covers every base. It gives an investor everything their portfolio needs in one place to combat the macro-economic cycle and deliver long-term returns.

Important Information: Capital at Risk. All financial investments involve an element of risk. Therefore, the value of your investment and the income from it will vary and your initial investment amount cannot be guaranteed. The value of your investment and the income from it will vary and your initial investment amount is not guaranteed. Some or all of the Manager’s annual charge for the Fund is taken from capital rather than from income. This increases the income, but reduces the potential for capital growth. Two main risks related to fixed income investing are interest rate risk and credit risk. Typically, when interest rates rise, there is a corresponding decline in the market value of bonds. Credit risk refers to the possibility that the issuer of the bond will not be able to repay the principal and make interest payments. The Fund invests in high yielding bonds. Companies which issue higher yield bonds typically have an increased risk of defaulting on repayments. In the event of default, the value of your investment may reduce. Economic conditions and interest rate levels may also impact significantly the values of high yield bonds. All currency hedged share classes of this fund use derivatives to hedge currency risk. The use of derivatives for a share class could pose a potential risk of contagion (also known as spill-over) to other share classes in the fund. The fund’s management company will ensure appropriate procedures are in place to minimise contagion risk to other share class. Using the drop down box directly below the name of the fund, you can view a list of all share classes in the fund – currency hedged share classes are indicated by the word “Hedged” in the name of the share class. In addition, a full list of all currency hedged share classes is available on request from the fund’s management company The Fund’s investments may have low liquidity, which often causes the value of these investments to be less predictable. In extreme cases the Fund may not be able to realise the investment at the latest market price or at a price considered fair.

Fund Overview

Benchmark

The benchmark of the PC Macro Multi-Asset Dynamic Growth Fund is the passive equivalent of investing in the broad asset class universe:

70%

MSCI ACWI Index

40%

Bloomberg Global Aggregate Bonds (USD Hedged) Index.

10%

Alternatives Basket comprising of equal weighted exposure to Global Infrastructure, Industrial Metals, Physical Gold, Real Estate, Water and Renewable Energy.

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Alpha Predictor Model Universe

Low Bound

High Bound

Defensive Assets

30.0%

50.0%

Bonds

30.0%

50.0%

Global

20.0%

40.0%

Aggregate Bonds

20.0%

40.0%

Government Bonds

0.0%

25.0%

Corporate Bonds

0.0%

25.0%

High Yield Bonds

0.0%

15.0%

Inflation-Linked Bonds

0.0%

10.0%

United States

0.0%

35.0%

Aggregate Bonds

0.0%

15.0%

Government Bonds

0.0%

25.0%

Corporate Bonds

0.0%

15.0%

High Yield Bonds

0.0%

10.0%

Inflation-Linked Bonds

0.0%

5.0%

Treasury Bills 1-3 months

0.0%

25.0%

Treasury Notes 1-3 years

0.0%

10.0%

Treasury Notes 7-10 years

0.0%

10.0%

Treasury Bonds 20 years+

0.0%

10.0%

Europe

0.0%

15.0%

Aggregate Bonds

0.0%

15.0%

Government Bonds

0.0%

7.5%

Corporate Bonds

0.0%

7.5%

Emerging Markets

0.0%

10.0%

Emerging Market Bonds (USD)

0.0%

10.0%

Emerging Market Bonds (Local Currency)

0.0%

10.0%

Cash or Cash Equivalents

0.0%

15.0%

Cash at Bank

0.0%

15.0%

Risk Assets

45.0%

65.0%

Equities

20.0%

60.0%

Global

20.0%

60.0%

MSCI World Index

20.0%

60.0%

MSCI World Small Cap Index

0.0%

10.0%

Momentum Factor

0.0%

10.0%

Quality Factor

0.0%

10.0%

Value Factor

0.0%

10.0%

United States

10.0%

5.0%

S&P 500 Index

10.0%

50.0%

Nasdaq Index

0.0%

15.0%

Russell 100 (Mid Cap)

0.0%

10.0%

Russell 2000

0.0%

10.0%

MSCI USA Momentum Factor

0.0%

5.0%

MSCI USA Quality Factor

0.0%

5.0%

MSCI USA Value Factor

0.0%

5.0%

S&P 500 Technology Sector

0.0%

10.0%

S&P 500 Communication Services Sector

0.0%

10.0%

S&P 500 Consumer Dictionary Sector

0.0%

10.0%

S&P 500 Healthcare Sector

0.0%

10.0%

S&P 500 Financials Sector

0.0%

5.0%

MSCI USA Energy Factor

0.0%

5.0%

Regional (ex. USA)

7.5%

17.5%

MSCI Europe

0.0%

10.0%

MSCI United Kingdom

0.0%

5.0%

MSCI Japan

0.0%

5.0%

MSCI Pacific ex. Japan

0.0%

5.0%

Emerging Markets

0.0%

5.0%

MSCI Emerging Markets

0.0%

7.5%

MSCI EM Latin America

0.0%

2.0%

MSCI Asia ec. Japan

0.0%

2.5%

Alternative Assets

5.0%

16.0%

Global Infrastructure

0.0%

6.0%

Industrial Metals

0.0%

6.0%

Physical Glod

2.5%

8.0%

Real Estate

0.0%

8.0%

Water

2.5%

6.0%

Renewable Energy

0.0%

6.0%

Please note that the AlphaPredictor® model is continually optimized as new data and its impact on asset performance is realized. This may cause the sub-asset classes and weightings of the PC MMA Dynamic Growth Fund to change in line with updates to the model over the investment horizon. The broad asset class boundaries e.g. Equities Exposure between 65-90%, Bond Exposure between 5-30%, Alternatives Exposure between 5-20% will remain fixed.
The above universe constraints are for illustrative purposes only and therefore may be different at time of reading.

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Share Class Information

Fund Name

Share Class

ISIN

Currency

AMC

Minimum Investment

ARIA Global Impact Income Fund

A10

MT7000026373

GBP

0.65%

£ 2,000,000.00

ARIA Global Impact Income Fund

A10

 MT7000026324

EUR

0.65%

€ 2,000,000.00

ARIA Global Impact Income Fund

A10

MT7000026274

USD

0.65%

$ 2,000,000.00

ARIA Global Impact Income Fund

C10

 MT7000026399

GBP

0.95%

£ 10,000.00

ARIA Global Impact Income Fund

C10

 MT7000026340

EUR

0.95%

 € 10,000.00

ARIA Global Impact Income Fund

 C10

MT7000026290

USD

0.95%

$ 10,000.00

ARIA Global Impact Income Fund

E10

 MT7000026407

GPB

1.50%

£ 10,000.00

ARIA Global Impact Income Fund

 E10

MT7000026357

EUR

1.50%

€ 10,000.00

ARIA Global Impact Income Fund

 E10

 MT7000026308

 USD

 1.50%

$ 10,000.00

ARIA Global Impact Income Fund

D10

MT7000026415

GBP

0.95%

£ 250,000.00

ARIA Global Impact Income Fund

 D10

 MT7000026365

EUR

0.95%

€ 250,000.00

ARIA Global Impact Income Fund

 D10

MT7000026316

USD

0.95%

$ 250,000.00

The TER is estimated based on a minimum of £15,000,000 in AUM within the Sub-Fund
The Minimum Investment can be waived if investing through a custodian/platform

Literature Downloads

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