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About Fischer and Co.
Why Fischer & Co.Experience: Over 25 years of experience investing in alternative assets; established track record Parallel Interests: Principals co-invest as LP's in all funds. Principals actively manage the portfolio, select managers and conduct due diligence. Direct client access to principals. Flexibility: Ability to identify and invest in small to mid-size managers and quickly respond to opportunities Network: Investment access to a broad network of top tier managers Risk Management: Sophisticated internally developed proprietary risk models Process: Methodical process of manager selection, portfolio construction and allocation
DisciplineOur multi-manager investment discipline has been honed over 25 years and our business discipline over 40 years. Below is a list of key investment and business tenets that we follow: Locate and invest in only the best in class hedge fund managers. Fully understand, monitor, and manage the risks in each portfolio. Diversify by optimizing the best mix of hedge fund strategies and managers for each given risk/return objective. Leverage experience as an overlay to risk management tools. Hedge fund managers must be substantially co-invested alongside investors. Invest in superior risk management tools and processes as well as infrastructure. Attract and retain only the best people and investment professionals. Maintain organizational stability.
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