JPM Highbridge Statistical Market Neutral Fund

Bringing alternative asset management to your clients

Fund Highlights

  • A Fund for diverse market environments - attempts to produce positive, above-cash returns, independent of market direction.
  • Low volatility - targets volatility of 4-6% over a full market cycle - similar volatility to an investment in hedged global bonds.
  • Market neutral - seeks to neutralise market risk (beta) and maximise stock-specific returns (alpha).
  • The best of both worlds - combines the transparency and liquidity of traditional funds with the innovation of a hedge fund strategy.
  • Diversification benefits - the Fund has low correlation to broad equity and fixed income markets,
    and may offer diversification to a long-biased portfolio.
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For more information on how the fund can bring alternative assets to your clients, download the latest information or call us on 0800 727 770

Fund Related Material

For more information on how the fund can bring alternative assets to your clients, download the latest information or call us on 0800 727 770



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