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Insights

Our Latest Thinking on the World of Resources as it Relates to Your Money
Gold


Why We Launched GERAF: Investment Rationale, Broad commodity exposures, Global focus, Quality orientation and Liquidity
In an era of elevated sovereign debt, persistent geopolitical tensions, and volatile financial markets, GERAF was established to deliver investors concentrated exposure to high-quality real assets across Precious Metals, Energy, and Industrial Metals. By focusing on listed companies with global operations, disciplined valuation frameworks, and built-in liquidity, the strategy aims to generate reasonable long-term returns with a meaningful margin of safety — even as traditiona

Michel Mamet
May 123 min read


Gold a Core Holding Underpinned by Strong Performance and Defensive Characteristics: A Third Major Bull Market
Gold has delivered strong, consistent returns over the past two decades and now appears firmly in its third major bull market of the last 50 years. With prices rising from around $1,200/oz in 2018 to $3,350/oz today (a 16% pa CAGR), this insights piece examines gold’s long-term performance, the characteristics of previous bull cycles, our disciplined investment philosophy built around a margin of safety, and powerful new evidence of sustained central bank demand from the Worl

Andrew Lye
May 122 min read
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