Partnor Asset Management offer our clients access to a strong range of investment solutions with our investment specialist partners.
Real Estate funds
Ajia Partners, Ostara Japan III, a country and sector focused value add fund investing in nursing homes in Japan. A 7 year closed end life fund, target size USD 350 million with 15% net target returns.
Ajia Partners, Ostara China II, a country and sector focused value add fund investing in retail real estate in China. A 7 year closed end life fund, USD 500 million size with 20% net target returns.
Composition Capital Partners, Asia III, a diversified noncore fund investing through joint ventures, club deals, co-investments, secondary investments or private funds in Asia. A 9 year closed end life fund, target size USD 300 million with 15% net target returns.
Composition Capital Partners, Europe III, a diversified noncore fund investing through joint ventures, club deals, co-investments, secondary investments or private funds in Europe. A 9 year closed end life fund, target size USD 300 million with 15% net target returns.
Private Equity funds
Orion Partners, C growth Fund, a sector focused fund investing in high growth consumer companies small and medium size businesses tied to China’s growth. Value-add approach – transition leadership from entrepreneurs to experienced professionals through a C- partner strategy. A 10 year closed end life fund, target size USD 250 million, target return 20-25% net.
Absolute return funds
Avesta, Long Short Equity, a fundamental bottom up stock picker combined with rigorous risk/reward valuation work. Aggressive exposure management designed to control risk and protect capital. Target returns of +15% net.
Bocage, a market neutral commodity focused fund investing in a highly diversified portfolio of liquid securities, commodities and currencies building a beta neutral portfolio to deliver high risk adjusted returns and preserve capital in all market environments.
Eurizon Capital Emerging Markets Total Return Bond Fund open ended Luxembourg registered and listed fund investing in global emerging markets government or private issuers fixed income instruments with a portfolio duration limit of 1. Target return is excess of Treasury Bills + 0,75 % on a 36 month basis.
Signina Capital, Short Term Interest Rate Trading, STIRT, an open ended Luxembourg registered fund investing through listed futures and options(money market instruments) in anomalies in short term interest rate markets in the major OECD currencies. Target return is Libor + 5-7%.
Watershed, Credit and Special Situations Fund, a fundamental value investment firm with opportunistic credit orientation invests in bank debt, bonds, convertible debt, mortgage securities, asset-backed securities, preferred and common equity, credit derivatives, trade claims, liquidating trust units, secondary limited partnership interests, and other instruments.
Long only funds
Eurizon Capital, European High Yield, an open ended Luxembourg registered and listed fund investing in European issuers high yield bonds (BB-B rated) hedged in Euro.
Eurizon Capital, Emerging Markets Bond Fund, open ended Luxembourg registered and listed fund investing in global emerging markets government or first class private issuers fixed income instruments hedged in Euro.
Please contact us for more information on the funds and the investment opportunities they represent.