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Plurimi Diversified Dynamic Solution A EUR

Ranked 48 out of 67 in - Flexible EUR over 12 months
All calculations are in GBP unless stated

Managed by

Patrick Armstrong

Canadian-born Patrick Armstrong attended the Universities of Saskatchewan and Toronto graduating with a BComm in Finance and Economics as well as an MBA. Starting his investment career in 1998, Patrick worked with Deutsche Bank and UBS before joining Insight Investment in 2003. At Insight Patrick was co-head of the multi asset group, and left the company in 2008 to set up Armstrong Investment Managers. He then moved to Plurimi Investment Managers where he is CIO. Away from the office Patrick highlights squash and backgammon as recreational interests.

Eugen Fostiak

Eugen Fostiak is a Portfolio Manager at Plurimi Investment Managers. Previously he was a Portfolio Manager at Armstrong Investment Managers, Insight Investments and UBS, as well as a quantitative strategist at Deutsche Bank and an equity analyst at Creditanstalt Investment Bank.

Objective

To deliver a capital return of at least inflation plus 7% per annum over a 7 year market cycle. The fund seeks long term capital appreciation through a flexible asset allocation policy across all global liquid asset classes. The fund dynamically allocates across both traditional and alternative asset classes including; cash, fixed income, equity, real estate, commodities, private equity and currencies. The fund will also utilize a diverse range of strategies and access points to gain exposure to these asset classes including: direct positions, ETF's, investment in other funds and derivative strategies in order to meet its investment objective.

Showing fund performance in United Kingdom View performance globally

Performance

Flexible EUR over : 31/03/2018 - 31/03/2019

Total Return

Quarterly Performance

to 31/03/2019 Annual Q1 Q2 Q3 Q4
2019 -4.7%
2018 -1.9% -2.9% -0.4% 1.4% 0.1%
2017 0.6% 1.9% 0.9% -0.7% -1.4%
2016 17.1% 3.0% -1.8% 10.8% 4.6%
2015 6.0% 1.2% -2.0% 1.4% 5.4%
2014 -2.4% 1.1% -1.5% -1.0% -1.0%
2013 7.7% 8.9% -2.1% 0.8% 0.1%
2012 4.1% 2.3% -1.3% -0.5% 3.6%
2011 -2.7% 4.1% 2.5% -9.8% 1.2%
2010 -5.7% 6.8% 4.4%

Month by Month Performance

Returns Vs Risk

Registered For Sale In

  1. Gibraltar
  2. Ireland
  3. Luxembourg
  4. Spain
  5. United Kingdom

Fund Info

  • Launch date08/01/2010
  • Share Class size08Mn
  • Base currencyEUR
  • ISIN IE00B4Y8C566

Purchase Info

  • Min. initial investment250,000
  • Min. regular additional investment0

Charges

  • Annual management1.50%
  • Initial investment0.00%

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Performance is for the period shown (month end to month end, bid/bid, gross income reinvested, calculated in the currency and currencies indicated).