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The Symphony Fund

It is the belief of the fund's investment manager that the most consistent, persistent and predictable returns are best achieved across numerous market environments by combining multiple uncorrelated investment strategies, each one designed to profit from a distinct but logical return driver.

The unique characteristic of the Symphony Fund is the core belief that a truly diversified investment portfolio can only be created by diversifying across clearly identified return drivers as opposed to diversifying by asset class, as the majority of funds do.