The Constantia Low Volatility Fund has been providing investors with cost-efficient access to the best absolute return investment talent we can find since 1998. The objective of each of the Constantia Low Volatility Fund is to achieve total returns on capital of United States 3-month Treasury Security yield plus 3%-5% per annum over any rolling two-year period with a target annual volatility of 2%-5%.

Constantia Low Volatility Fund

The Constantia Low Volatility Fund targets total returns on capital of United States 3-month Treasury Security yield plus 3%-5% per annum over any rolling two-year period with a target annual volatility of 2%-5%.

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