Arden employs around a well-defined investment process designed to generate absolute returns with low volatility and low correlation to stocks and bonds
Significant investments in risk and infrastructure support have been made to enhance the investment process
Comprehensive monitoring of manager and potential drivers of downside risk, including position-level monitoring for participating funds
Experience investing with portfolio managers employing a variety of strategies, including relative value, event driven, global macro, equity long/short, tactical and other strategies. Click here for Arden's strategy definitions.