RPIA Global Fixed Income Expert

RP Select Opportunities is an unconstrained long/short credit strategy that seeks to generate risk-adjusted returns without benchmark constraints. The strategy utilizes outright and relative value, alongside active trading, to produce absolute returns in all interest rate and credit spread environments. The strategy aims to produce a return profile with lower volatility than broad equity and credit markets while preserving capital.

Historical Strategy PerformanceDownload Scorecard

1 MON 3 MON 6 MON YTD 1 YR ANNUALIZED SINCE INCEPTION*
RP Select Opportunities -0.12% 0.73% 1.62% 1.62% 4.89% 7.47%
Barclays US Corporate High Yield 0.40% 1.03% 0.16% 0.16% 2.62% 4.36%

* Inception: April 2014 to June 2014. For important strategy performance information please seeĀ Legal and Important Information.

RP Select Opportunities Fund

Key Facts

TARGET RETURN 8-10% net of fees
ELIGIBILITY Canadian residents. Eligible for registered accounts
LIQUIDITY Monthly
STRUCTURE Pooled Fund
DISTRIBUTIONS Reinvested
MANAGEMENT FEE 1.50% Series A and F and 2.00% on Series B
PERFORMANCE FEE 15 % on Series A, F and B