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About Gyrostat Capital Management

The Gyrostat Risk Managed Equity Fund ARSN 651 853 799 offers five unit classes Each Class has differing risk-return characteristics, but all Classes are based on the ‘dynamic hedging' risk managed approach with protection always in place. Each class is backed by a Class specific pool of assets and liabilities held on a segregated basis. We offer two absolute return funds, non correlated with the stock market. Class A is our flagship fund. Blue chip shares with protection for retiree income. This is specifically designed to address sequencing risk with a downside tail always in place for gains on large market falls. Class B is a leveraged version, with a focus on greater returns with less risk protection. We also offer Gyrostat Risk Managed Australian (class C), Hong Kong (class D), and global (class E) designed to outperform their specific benchmark index over rolling 12 months by avoiding large losses through the complete investment cycle. The offer of units in the Fund is made in accordance with a PDS dated 20 October 2022 issued by One Managed Investment Funds Limited ACN 117 400 987 AFSL 297042. Wholesale nvestors should consider the PDS before deciding whether to invest in the Fund. Further information available at: http://www.gyrostat.com.au/

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