Absolute-Return
Multi-Strategy
Portfolio

Designed for investors who prioritise capital preservation and steady compounding over market cycles, through a diversified portfolio of liquid alternatives. Substantial experience in manager selection and global partnerships built since 1994.

Risk Management · Capital Preservation · Steady Compounding

Track Record

Net return of Class A USD (ISIN LU2491197922) shares

Pazola Fund since Inception

Line chart. Data table with 49 rows and 2 columns follows.

Pazola Fund
30/09/2022100
31/10/2022100.63
30/11/2022101.87
31/12/2022101
31/01/2023101.97
28/02/202398.98
31/03/202395.67
30/04/202396.91
31/05/202397.05
30/06/202396.21
31/07/202397.09
31/08/202395.77
30/09/202396.02
31/10/202394.88
30/11/202397.83
31/12/202399.54
31/01/2024101.67
29/02/2024103.1
31/03/2024103.67
30/04/2024102.45
31/05/2024103.79
30/06/2024103.14
31/07/2024104.01
31/08/2024103.63
30/09/2024105.98
31/10/2024105.3
30/11/2024107.05
31/12/2024104.88
31/01/2025105.54
28/02/2025104.2
31/03/2025102.02
30/04/2025101.7
31/05/2025102.63
30/06/2025104.08
31/07/2025105.57
31/08/2025106.94
30/09/2025110.9
31/10/2025113.6
30/11/2025115.81
31/12/2025115.39
31/01/2026119.77
28/02/2026124.48
31/03/2026122.42
30/04/2026127.23
31/05/2026129.54
30/06/2026130.34
31/07/2026131.54
31/08/2026133.13

Why invest in Pazola?