Overview
Miller Market Neutral Income Fund is a market neutral fund which seeks to achieve a positive return regardless of the direction of the equity and bond markets.
Strategy and Process
The market neutral strategies employed by the Fund, including convertible arbitrage, emphasizes non-correlated returns, focusing on outcomes rather than outperforming a specific index. Risk is actively managed by utilizing hedging strategies to help reduce systematic risk. The market neutral strategy allows for unconventional and uncorrelated investment opportunities.
Attractive Risk to Return Profile
The Miller Market Neutral Income fund emphasizes absolute, consistent returns over relative returns and provides an attractive risk/return profile focused on reducing volatility by hedging and delivering risk-adjusted performance.
Experienced Investment Approach
The Fund’s investment advisor holds over 20 years of experience investing in convertibles and market neutral strategies.
For additional information about the fund, please email us at information@wam.com.