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Our Product

Ivy will add to the experienced team of alternative managers with new non-correlated investment strategies throughout its lifetime.

Generate a 7% plus net return portfolio.

Allow for a 4% annual dividend.

Reduce equity market correlation risk.

Regulated By

The Central Bank Of Ireland

Approved for Distribution and Marketing in The United Kingdom by

The Financial Conduct Authority

Approved for Distribution and Marketing in Spain by

Comissión Nacional Del Mercado De Valores

Our Investment Strategy

The steps in our Investment strategy selection process are

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Manager Evaluation
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Due Diligence & Analysis
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AIFM (Fund Manager Review)
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Fund Investment Committee Review
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Fund Board Approval