Avalon Strategic Energy Transition Fund

http://www.avafundco.com/ …..available to qualified investors in 2025

The Avalon Fund management thesis is designed to provide equity-like returns while creating downside protection by investing in a diversified portfolio of mostly non-correlated & opportunistic global exposures. The Fund has a global quantitative multi-factor equity strategy that invests primarily in companies with favourable ESG characteristics and leading edge technology.

Over the longer term this ESG compliant fund uses a multi-asset strategy with an active management overlay that focuses on absolute returns providing exposure to ESG equities & bonds, and is hedged with forex, digital assets and various derivatives. The foundation of the strategy is based on a risk-first mindset. When asked what are the core indicators that we use to trade, we fundamentally rely on the following: insightful fundamental data for a macroeconomic perspective, momentum indicators to gauge market trends, advanced data for capital allocation, and precise support & resistance levels for strategic trade execution. We find that by combining these indicators skillfully and methodically, we have much better accuracy and confidence in navigating the complexities of trading and money management.

Providing Avalon with even more efficient trading capabilities, proven algorithms & modelling is the 8thMode Analytics team. 8thMode uses proprietary Machine Learning Services, Advanced Markets Data and Institutional Grade Support that is plugged into a global network of financial exchanges and over 230,000 data sources.

A British Virgin Islands registered professional fund only available to sophisticated, accredited investors and may also be dependent on jurisdiction of investor.

General Info: generalenquiries@avafundco.com

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