A unique and open multi-manager structure has enabled Nektar to maintain a steady stream of returns over a decade and a half.
Nektar, an absolute return fund focused on fixed income markets, relative value and macroeconomic trends, is run by Nektar Asset Management, part of Brummer & Partners. Its goal is to generate a high, sustainable risk-adjusted return with low systematic correlation with equity and bond markets.
The fund's philosophy since its inception in 1998 has been to provide investors
The week on Risk.net, July 14–20, 2017Receive this by email