TANGLIN HEDGE FUND

The objective of the managers of the Tanglin hedge fund is to create a high risk-adjusted return through active fund management in the international currency, fixed income and equity markets. We invest in Europe and the US in instruments with high liquidity. Tanglin’s philosophy is based on a belief that its managers’ comparative advantage is their ability to successfully manage risk. Management is based on a long-term approach and stability with the aim of continuously meeting our objective of a high risk-adjusted return.




Performance, last month May 15, 2012

0,2 %

Performance during 2012 May 15, 2012

2,8 %

Performance last 12 months May 15, 2012

3,1 %

Performance since inception August 1, 2000

155,9 %

Assets under management (NAV) SEK 717 million  
Dates for purchase/redemtion Purchase Redemption
in May May 29 May 29