Conventional strategies generate mediocre results, our focus on absolute returns gives us the edge to spear through market mispricing and generate Alpha for our investors.
- Manoj Krishnan, CIO & ED
A Multi-Strategy, Global Macro hedge fund that endeavors to maximize risk adjusted returns through a differentiated investment approach in an environment where traditional strategies have become commoditized. Our portfolios have exceled even during periods of high uncertainties through an optimal blend of ‘prudence’ and ‘expertise’.
Incorporated in DIFC and regulated by the Dubai Financial Services Authority (DFSA), we endure to create an investor focused fund house, which through full collaboration among our tenured investment team, opens doors to a whole new spectrum of opportunities for our investors.
Pivotal to our investment strategies is a tireless pursuit to understand the ever-changing dynamics of the world economy, translating into unrivaled allocation of capital.
The fund is well steered-through by a highly qualified and self-motivated Fund Management team with 100+ years of collective experience in Investment Research and Portfolio Management. Our State-of-the-Art infrastructure and strong partnerships with the few of the world’s biggest organizations, complements our goals.
The CGIF Vision
Heritage | Innovation | Excellence best describes our vision.
With a focus on these we thrive to become a globally reputed asset manager.
The CGIF Advantage
Century Global Infinity Open-Ended Fund (CGIF) has the power to convene global networks generating insights and outcomes not commonly found in the investment community.