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Strategies |
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TMG manages three hedge funds which seek to achieve superior capital appreciation by investing in a wide variety of asset classes that may include US, Canadian and international equities, fixed income securities, real estate, currencies and hard assets (e.g. commodities and gold). Our three strategies are dynamically managed, striving to take advantage of global capital market opportunities while focusing on downside risk management by changing allocations in response to market conditions.
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TMG Long Short Equity FundTMG L/S achieves uncorolated returns. Our long/short equity strategy seeks to minimize market exposure, while profiting from stock gains in the long positions, along with price declines in the short positions.
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TMG Partners FundGlobal diversification including exposure to stocks, bonds, real estate, and hard assets (e.g. commodities and gold). Upside growth potential through rigorous analysis of investment opportunities. Downside risk management through strategic positioning across asset classes.
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TMG Green FundThe fund is a portfolio of equities and/or bonds for which environmental and social factors have been integrated into the investment process. The fund will only invest in companies that are deemed socially conscious in their business dealings or directly promote environmental responsibility.
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