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2 Dec 2014

QLAB Invest announces agreement with RPM Risk & Portfolio Management
 
                         


QLAB Invest Switzerland AG is proud to announce a new index license agreement with RPM Risk and Portfolio Management AB who will be the Investment Manager of two Luxembourg AIFs regulated under the new European Alternative Investment Fund Management Directive (AIFMD). The funds will track the QLAB Asset Allocation and QLAB Dynamic Allocation strategy indices which aim to deliver convex returns through participating in rising markets and largely avoiding falling markets with two well-defined risk profiles available.
 
Steven Bates, CEO of QLAB Invest comments that combining RPM’s market experience, operational excellence and award-winning fund management capabilities with the proven risk and return characteristics of QLAB’s investment strategies will be a compelling proposition for institutional and other professional investors. The protection of the new AIFMD regulation combined with daily liquidity and real-time position level reporting represents the state-of-the-art in liquid alternative investment solutions.

CONTACT

QLAB Invest Switzerland AG                          RPM Risk & Portfolio Management AB
Limmatquai 2                                                 Norrmalmstorg16
8001 Zurich, Switzerland                                SE-11146 Stockholm, Sweden
www.qlabi.com                                               www.rpm.se

Steven Bates                                                  Magnus Kottenauer
T  +41 55 535 5605                                       T +46 8 440 69 00
E  sbates@qlabi.com                                       E  magnus.kottenauer@rpm.se

Close disclaimer

DISCLAIMER: This document does not constitute an offer, a solicitation, an advice or a recommendation to purchase or sell any investment products associated with the material described herein. The purpose of this document is to describe the principles, research and ideas behind the QLAB Invest strategy indices. Prior to an investment in any product tracking a strategy index, you should make your own appraisal of the investment risks as well as from a legal, tax and accounting perspective, without relying exclusively on the information provided by QLAB Invest. Investment products tracking the indices must be issued or/and marketed by a regulated company. This document is strictly for informative purpose. The single source of the underlying asset data is Thomson Reuters Datastream and QLAB Invest cannot guarantee the correctness of the underlying asset data and cannot be held legally responsible in this regard. Any references made to historical performance up to the official live inception do not reflect actual live performance and can be subject to selection, curve fitting and other statistical biases. Performance in investment products linked to the indices may be reduced by the effect of commissions, fees or other charges in excess of those already factored into the index calculations. The level of the indices will fluctuate due to the volatility of the underlying exposures and past performance or volatility is not necessarily indicative of future results.