
Crossing the Perilous Waters of
Global Investment
PRINCIPAL INVESTMENT GOALS
Grandbridge Investment Fund was created to provide Latin American investors a multi-asset investment vehicle tailored to their financial goals. Offering various share classes matching the risk appetite of its clients, Grand Bridge provides everything between low risk asset protection and higher risk asset growth strategies.
FUND STRATEGY
The Grandbridge Investment Fund works with a multi-asset class strategy in order to capitalize on market inefficiencies and provide clients with a solution to match their risk tolerance and financial goals. The fund’s strategy is net long-biased, being weighted in favor of sovereign fixed income, provides a great deal of liquidity, while real estate and commodity positions diversify the portfolio.
FUND MANAGER
Grand Bridge Asset Management has an incredibly long history with its roots dating back to 1887. The firm provides the benefits and personalized service of a small boutique firm while drawing upon the resources and financial strength of a large one, giving their clients flexibility to run their businesses in a way that meets their client’s needs.
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The heart of the Grand Bridge vision is to help investors obtain the comprehensive financial advice they seek from trusted financial professionals. Offering a robust line of financial solutions from highly ethical advisors and financial professionals is one of the features of Grand Bridge.
RISK
Investing in the Fund’s securities involves certain risk considerations including currency fluctuations, lack of liquidity and price volatility of the stock markets. The Fund may also invest in privately issued securities which also may present additional risk considerations. Also, government involvement in and influence on the private sector, political and economic factors as well as leverage and other factors which might adversely affect the Fund activities and the value of its investments are part of the risk. These risk factors may result in greater share price volatility.
