The Geluk Story
For the past 12 years, we’ve had the pleasure to work closely with hundreds of investment managers and traders from all around the world. During this time, we began noticing that the most successful managers portrayed certain traits and with closer examination identified those specific traits to be the common denominator possessed by the most exceptional fund managers.
There are only a handful of managers in the industry who possess these attributes and fortunately, we were able to bring together one of the best trading team under one roof to create the Geluk Global Fund.
Geluk offers a unique opportunity to investors to diversify with a portfolio of funds. With a modest investment, an investor can enhance their current investment portfolio with Geluk Global Funds.
Passion To Perform
The Geluk’s investment team aims to generate positive absolute returns over a rolling 12-month period in all market conditions. Our investment philosophy is based on a defensive approach with a focus on capital preservation over capital appreciation. Finding the most efficient risk reward ratio has delivered performance in excess of industry standards.
Our investment teams strategy, depending on the portfolio, primarily invests is currency, spot gold, precious metals, and may invest in derivatives and other instruments to establish long and short investment exposures. The Fund may invest in multiple countries and frequently has significant exposure to both domestic and foreign currencies.
The Power of Alternative Investments
Since the early 90’s, global macro strategies have outperformed U.S. equities and fixed income, providing higher returns with lower volatility. As part of a well diversified portfolio, global macro may provide the potential for greater returns with reduced volatility.