DCI Market Neutral Credit Fund
Referent: Tim Kasta
Unternehmensüberblick / Kernkompetenz
Strategy: Long/short credit
Geography: Global
The DCI Market Neutral Credit UCITS Fund aims to generate absolute returns via idiosyncratic credit selection by investing long/short in a well-diversified portfolio of liquid single-name corporate CDS. The strategy is designed to be neutral to credit beta and other systemic credit risk factors and aims to be uncorrelated with interest rate, credit market or other systemic market movements. Fundamental Model-driven systematic approach