Asilo Asset Management
Portfolio Management Partner
GRIT acts as the Alternative Investment Fund Manager (AIFM) for Asilo Argo (non-UCITS). The portfolio management of the fund has been delegated to Asilo Asset Management Oy, who also acts as the fund's distributor and handles marketing activities.
Asilo Argo (non-UCITS) is an international equity fund whose strategy is to invest in companies whose business is seen as having significant long-term growth potential and whose market value, in the portfolio manager's view, is low relative to the estimated fair value of the company. The investment strategy is not tied to any specific geography, industry sector, or company size category. The fund's investment horizon is longer than usual. The fund has a more concentrated portfolio than is typical: under normal conditions, the fund invests in approximately ten different companies.
Read more about the portfolio manager of the fund, Asilo Asset Management Oy, at asiloam.com.
The current fund documentation and annual reports are available at fundadmin@grit.fi.
Historical performance does not provide a reliable indication of future returns or value development. Markets could develop very differently in the future. Investors may lose their investment in whole or in part. Prior to making an investment decision, investors must review the fund documentation, including the fund's Key Information Document, prospectus, and rules.
