Signet’s range of portfolios is available via Signet UCITS Funds plc, an Ireland based, UCITS V compliant, umbrella fund company, a BVI fund platform called Signet Multi-Manager Inc. ("SMMI"), or via Whiteridge Investment Funds SPC Ltd.
Signet Multi-Manager Inc.The Signet Multi-Manager Inc. platform has, since the early 1990’s, provided large institutional and private investors with an easy way to invest in pools of specialist-managed investment portfolios. Whether it be a global, yet locally-managed, portfolio of high yield bonds earning large yields; a market neutral portfolio of equities to protect an investor in years like 1998; or a precious metals portfolio to protect against currency debasement; Signet has for over 20 years built portfolios of protected, well-researched international securities managed by experts with the combined objective of preserving investor capital and generating returns.
Global Multi-Strategy (GMS)GMS invests in a blend of fixed income strategies and other asset classes. The fund targets mid single digit returns with low volatility and offers monthly liquidity.
Asian Bond Portfolio (ABP)ABP is an actively managed absolute return bond portfolio which provides exposure to predominantly Pan Asian high income credit, including corporate and sovereign/quasi-sovereign issues. The program will target high single-digit to double-digit returns derived mainly from coupon income and capital appreciation, associated with the active management and trading of the bond portfolio. The Fund is sub-managed by Income Partners
European High Yield Bond Portfolio (EHYBP)EHYBP is an actively managed bond portfolio which allows investors to access idiosyncratic opportunities in predominantly European corporate credit. The program targets high single-digit returns derived from coupon income and capital appreciation while providing investors with some protection in adverse markets.
US High Income Bond Portfolio (USHIBP)USHIBP is an actively managed absolute return bond portfolio providing exposure to a highly differentiated portfolio of under followed US corporate credits. The Fund is sub-managed by Newstar.
Whiteridge Global Income (WGI)Whiteridge Global Income Fund («WGI») has the most flexible mandate in our product ranges. The fund doesn’t have limitations in terms of the targeted asset classes or geographical footprint except for the risk-related considerations. The fund is not linked to any benchmark indexes.
Whiteridge Global Energy (WGE)
The fund is focused on highly concentrated positions in special corporate events, mostly in the energy sector.