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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

Discipline

Our 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.