Hedge Funds: Advisory Solutions Strategy
Hedge Funds: Advisory Solutions Strategy

Hedge Funds: Advisory Solutions Strategy

 
 
 
Summary

Advisory Solutions that offer recommendations, advice and account administration oversight for clients who wish to retain ownership of hedge fund positions. Provides customized investment recommendations designed to address clients’ specific requirements, such as risk exposures, return targets, strategy constraints, liquidity preferences and integration with existing investments. 

 
 
Investment Approach
Philosophy

Superior investment returns, in the team’s view, are driven by an intense focus on risk vs. reward. The overarching investment philosophy hinges on managing risk first and foremost, then maximizing returns within that risk-managed portfolio. Each hedge fund must offer strong risk/reward potential, both on an individual basis, and when combined with other hedge funds. The primary focus is picking the best managers using a bottom-up research approach. A top-down strategy analysis guides the team's manager search efforts to higher alpha opportunities.

 
Differentiators
Outcome-oriented Advice

Hedge fund recommendations tailored to address client needs and preferences regarding return target, risk exposures, liquidity, strategy or geographic concentration, portfolio reporting and administrative services. 

Experienced and Stable Team of Manager Selection Specialists

Manager-selection professionals work in strategy-focused teams that, in their view, enable them to: gain deep technical knowledge of alpha generation strategies within their designated hedge fund sector, build strong relationships that enhance sourcing and due diligence activities and identify innovative hedge fund managers and strategies before they are widely known. 

Disciplined Investment Process

The team employs a tested multi-step due diligence process that combines qualitative, quantitative and operational risk perspectives. Bottom-up manager evaluation is combined with a top-down view of the investment landscape to arrive at desirable position sizes and strategy, geographic and regional exposure.

Efficient Administration

Robust middle and back office capabilities with outsourced administration and custody services.

Strong Client Service and Reporting Capabilities

Timely and detailed portfolio-level and manager-level performance information. Ongoing access to portfolio specialists.

 
 
 
Investment Process
1
Understand Client Objectives

In-depth discussions to determine needs and preferences—return targets, risk exposures, liquidity, strategy or geographic concentration, correlations with existing holdings and reporting/tax requirements.

2
Investment Selection

Through an open-door sourcing policy and conducting rigorous investment, operational and quantitative due diligence the team seeks to arrive at a focused group of hedge fund managers that they believe are capable of generating high levels of alpha on a persistent basis.

3
Portfolio Construction

The team first takes a holistic view of the client's overall investment portfolio, seeking to determine the current level of exposure to market risk, active risk and liquidity risk. They then proceed to construct a custom investment portfolio that they believe has the potential to achieve the client's specific investment objectives.

4
Risk Management

Post-investment, both the overall portfolio and all underlying hedge fund investments are continuously evaluated through qualitative and quantitative measures. If the performance of an underlying investment deviates from the team's expectations, appropriate action is taken to remediate the effects of the investment on the portfolio. Continuous dialogue with underlying managers is central to the team's risk management process.

5
Ongoing Support

Frequent communication with clients enables the team to identify their changing needs and adjust the investment recommendations accordingly.

 
 
Portfolio Managers
Chief Investment Officer and Head of the AIP Hedge Funds Team
22 years industry experience
Managing Director
27 years industry experience
Managing Director
20 years industry experience
Executive Director
14 years industry experience
Vice President
11 years industry experience
 
 
 
 

ご案内の運用戦略の中には、日本でご紹介していないものも含まれています。また、受託資産額が運用上限に達したため受託を一時的に停止している運用戦略が含まれている場合があります。詳細につきましては、お問い合わせ下さい。

リスクについて

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受託資産の運用に係る費用について

投資顧問契約及び投資一任契約に係る投資顧問報酬として、契約資産額に対して年率2.16%(税込)を上限とする料率を乗じた金額が契約期間に応じてかかります。投資一任契約に基づいて投資信託を組み入れる場合は、投資する投資信託に係る費用等が投資顧問報酬に加えてかかる場合があります。また、一部の戦略では投資顧問報酬に加えて成功報酬がかかる場合があります。その他の費用として、組み入れ有価証券の売買手数料、先物・オプション取引に要する費用、有価証券の保管費用等を間接的にご負担頂いただく場合があります。これらの手数料等は契約内容、契約資産の額、運用状況等により異なる為、事前に料率、上限額等を示すことができません。

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