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Absolute Return Fund Directory
The Eurekahedge Absolute Return Fund Database is a unique product designed to provide up-to-date data and information on single manager funds that pursue long-only, absolute return strategies. Our in-depth fund templates cover:

  • Complete contact details
  • Fund manager profiles and histories
  • Investment strategy synopsis and risk management     techniques
  • Historical performance data, graphs and statistics
  • Monthly performance updates
  •  
    In 2005 the Eurekahedge Absolute Return Fund Database is being expanded to incorporate these specialist long-only vehicles globally. Solid working relationships between Eurekahedge and managers ensure that both regular monthly and one-off occasional changes affecting fund data and information are thorough and accurate.

    Absolute Return Funds are not beholden to any index benchmark. In contrast to traditional long-only mutual funds, the flexibility and diverse portfolio construction of this latest entrant in the hedge fund universe help to align the over-riding interest of investors and managers: to generate superior positive returns.

    Subscribers to our 12-month package receive online access to the database and are entitled to the published (hard copy) directory at courier cost only.

  • Subscribers log in here
  • To request for an order form, click here
  • To view a sample of the hard copy directory, click here

    For more information, please contact:

    Eurekahedge Research Data
    Sales Line: +65 6212 0925
    sales@eurekahedge.com


    Some of the key characteristics of the online database are outlined below.

    Home Page
     
    Menu
  • Advanced Search
  • Latest NAVs
  • Top 10 Performing Funds
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  • Glossary

    Quick Search
  • Fund Name
  • Region
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  • Fund Size
  • Trading History
  • Performance
  • Volatility

    Dynamic Menu
    Simple, alphabetical, side bar navigation
  •  

     
    Fund Pages
     
    Profile
  • Company history
  • Fund manager history
  • Key contacts

    Strategy
  • Objective
  • Investment regions
  • Portfolio representation
  • Strategy proportions
  • Stock selection
  • Research

    Performance
  • Performance statistics
  • Risk Statistics
  • Return Statistics
  • NAV Graph
  • Performance history

    Manager Details
  • Company
  • Managers
  • Key personnel
  • Contact details

    Fund Details
  • Investment Style
  • Investment Geography
  • Average Exposure
  • Size, Capacity, Assets
  • Hurdle Rate
  • Water Mark
  • Minimum Investment

    Other Details
  • Fee Structure
  • Redemption Structure
  • Service Providers
  • The key investment strategies listed in our fund templates are broken down into 10 sections including: Convertible Arbitrage, CTA / Managed Futures, Distressed Debt, Event Driven, Fixed Income, Long / Short Equities, Macro, Multi-Strategy, Others & Relative Value/Market Neutral.
     
    The main geographical regions covered are: Americas (US and Canada), Asia (Japan, Hong Kong, Singapore and Australia), Emerging Markets (Russia, Eastern Europe, Middle East, Africa and South America), Europe (UK, Switzerland, Italy, Luxembourgh and Ireland) and Global.
     

     
    Advanced Search Options
     
    Manager Details
  • Fund Name
  • Advisory Firm
  • Fund Manager/CIO
  • Head Office Location

    Statistics
  • YTD Return
  • Annualised Return
  • Annualised Volatility
  • Maximum Drawdown
  • Sharpe/Sortino Ratio
  • Other Statistics

    Fund Details
  • Geographical Mandate
  • Investment Strategy
  • Fund Size
  • Trading History
  • Domicile
  • Base Currency
  • Hurdle Rate?
  • High Water Mark?
  • Listed on Exchange?

    Other Details
  • Fee/Redemption Structure
  • Service Providers
  •  

     
    Search Results
     
    Search page results
    A straightforward results page returning a list of funds that meet input criteria.

    Sortable by:
  • Fund Name
  • Recent performance
  • YTD Returns
  • Inception Date
  • Annualised Return
  • Annualised Standard Deviation
  •  
     
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