The Investment Attributes
The Fund offers investors "conservative investing for global markets" by providing:

1 A unique and differentiated asset class - Negotiable Trade Finance Instruments
2 The Management Team has proven expertise in the asset class.
3 The Fund is partnered with one of the foremost global trade finance banks.
4 Proprietary and tested platforms for asset trading, clearing, custody and administration.
5 Proven track record.
6 Risk-adjusted returns that consistently exceed asset class benchmarks.
7 Global diversification with effective risk management.
8 Low volatility and low correlation to interest rate movement.


The Fund can be utilized within an investor's portfolio to:

  • Reduce risk
  • Increase yield
  • Invest in emerging market countries with managed exposure and reduced volatility
  • Smooth out interest rate fluctuation
  • Acquire the specialized experience and expertise from Tricon