HFRRF Investment Philosophy
Fund Asset Allocation as of June 30, 2024
The Fund has put in place a globally diversified, multi-asset class, multi-currency investment strategy. The aim is to avoid significant losses in the market value of investments and to surpass the policy benchmark returns after fees. The fund uses dynamic asset allocation across diverse private and public market assets.
Historically, the fund has exceeded its total return objectives, as outlined in the Investment Policy Statement, by following the principles of safety, profitability, and liquidity.
Investments
See your investment results
Prospective managers please send material to invest@hfrrf.org. The team will contact you if interested.