Macro Opportunities

The Macro Opportunities Strategy  invests equally in the Dyamic Munlti-Asset, Dynamic Sector, and Dynamic Income with two times leverage. It aims to outperform HFRI Global Macro Index with a low correlation with traditional asset classes. Its investment universe includes US equities and bonds, international equities, emerging market equities and bonds, real estates and MLPs. The positions chosen are depending upon the risk environment and asset performance.  Julex Macro Opportunity II is an un-levered version of the same strategy investing in an equally-weighted portfolio of the Dyamic Munlti-Asset, the Dynamic Sector, and the Dynamic Income strategies.

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[button link=”http://julexcapital.com/contact-us/” color=”blue” size=”small”]PLEASE CONTACT US FOR MACRO OPPORTUNITIES II FACT SHEET[/button]