Liongate’s primary investment objective is to generate long-term capital appreciation and to minimize risk through active asset allocation within various investment funds. To meet this objective, the firm focuses on three key elements: manager selection, portfolio construction and risk management. Liongate’s dedication to continuous re-allocation of capital to managers whose strategies are consistent with the firms’ macroeconomic views, provides clients with unparalleled investment performance. As a result of this approach, Liongate not only outperforms its peers, but also maintains a low correlation to fund of fund indices.