Schroder GAIA

 

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Schroder GAIA range

Schroder GAIA offers investors access to a suite of leading hedge fund strategies within a liquid and trusted framework. This fund range taps into some of the most compelling strategies across the globe, and provides a gateway for attractive returns within a risk-controlled environment.


Our fund range

 

Schroder GAIA Helix

A multi-strategy hedge fund that seeks to deliver an optimal blend of Schroders' alpha. This market neutral fund aims to deliver robust returns, with low correlation to equity markets and low drawdown characteristics, with a focus on alpha generation.

 

Schroder GAIA Wellington Pagosa

A multi-strategy fund that invests in long/short equity, absolute return fixed income, and market neutral strategies. The fund seeks to generate consistent, positive returns across market cycles while managing market risk exposure and minimising drawdowns.

 

Schroder GAIA Contour Tech Equity

A low-net, global equity long/short fund that invests predominantly in the Technology, Media and Telecoms (TMT) sector. The fund targets mis-priced opportunities, seeking to deliver positive returns in all market conditions while limiting downside risk. 

 
Schroder GAIA BlueTrend

A trend following strategy that invests across a broad range of markets, including equities, bonds, commodities, interest rates and currencies.

 
Schroder GAIA UK Dynamic Absolute Return

A UK equity long short fund focusing on bottom-up stock selection through fundamental analysis and meeting company management.


 

Schroder GAIA Cat Bond

Aims to provide capital growth and income by investing in securities that are related to insurance risks (known as insurance-linked securities), mainly in catastrophe or “cat” bonds.’

 

 

 

 

 

Schroder GAIA Indus PacifiChoice

A long/short pan-Asian equity fund combining bottom-up stock selection with macro awareness in order to deliver high risk-adjusted returns while preserving capital during difficult market periods.








 

 

 

Schroder GAIA Two Sigma Diversified

A US equity market neutral and global systematic macro trading strategy that aims to deliver uncorrelated alpha with controlled volatility across a wide range of market environments.
This fund is currently closed for new subscriptions however to the extent that capacity becomes available new subscriptions will be considered. To the extent you wish to subscribe in the Fund, when there is available capacity, please contact Schroder Investment Management (Europe) S.A. who can explain the process and your name can be added to a waiting list.

 

 

Schroder GAIA Egerton Equity

A fundamental equity long/short strategy investing predominantly in large cap equities with a global focus.
This fund is currently closed for new subscriptions however to the extent that capacity becomes available new subscriptions will be considered. To the extent you wish to subscribe in the Fund, when there is available capacity, please contact Schroder Investment Management (Europe) S.A. who can explain the process and your name can be added to a waiting list. 

 

   

 

Schroder GAIA Sirios US Equity

A fundamental equity long short UCITS fund, which focuses on mid to large cap equities primarily in the US, but also in Europe and Asia.

 

 

 

 

 

What are the risks?

- The capital may be subject to circumstances and periods where returns could be negative. Therefore the capital is not guaranteed and may decrease.
- Investments denominated in a currency other than that of the share-class may not be hedged. The market movements between those currencies will impact the share-class.
- Investments in small companies can be difficult to sell quickly which may affect the value of the fund and, in extreme market conditions, its ability to meet redemption requests upon demand.
- Emerging markets will generally be subject to greater political, legal, counterparty and operational risk.
- The fund may hold indirect short exposure in anticipation of a decline of prices of these exposures or increase of interest rate.
- The fund enters into financial derivative transactions. If the counterparty were to default, the unrealised profit on the transaction and the market exposure may be lost.
- Changes in China's political, legal, economic or tax policies could cause losses or higher costs for the fund.

 

Contact Schroders

Schroders is a world-class asset manager operating from 32 countries across Europe, the Americas, Asia, the Middle East and Africa.


Worldwide locations

For any further questions, please use our online contact form.

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