Aventine Stable Income: Finalist at 2017 Canadian Hedge Fund Awards

October 4, 2017



 

4 October, 2017

Aventine Stable Income Named as Finalist at
2017 Canadian Hedge Fund Awards

Dear Friends & Investors,

 

TORONTO, October 4, 2017.  Aventine Asset Management is pleased to announce that the Aventine Stable Income  Fund / Strategy (the “Fund”) has been recognized as a finalist (“Top Contender”) at the 2017 Canadian Hedge Fund Awards to be hosted by Alternative IQ and KPMG LLP on October 17, 2017.  The Fund is up for two awards in the Macro / Multi-Strategy Category:
  • Best 1-Year Return
  • Best 5-Year Sharpe Ratio

The Canadian Hedge Fund Awards are the highest honour in Canada’s Hedge Fund industry, helping investors to identify exceptional investment managers and recognizing winners in 5 categories:  Equity Focused, Credit Focused, Market Neutral, Global Macro/Managed Futures/Multi-Strategy, and Best Overall Hedge Fund.  There are 3 awards available in each category:  Best 1-Year Return, Best 5-Year Annualized Return and Best 5-Year Sharpe ratio. Sharpe Ratio is an industry standard measurement for calculating risk-adjusted returns. 

A full press release identifying all finalists was released yesterday by Alternative IQ.

Andrew Shortreid, President of Aventine and Lead Portfolio Manager of Stable Income noted, “This recognition from the Canadian Hedge Fund Awards is a product of this strategy’s sound portfolio design and risk management policies, combined with a conservative, yield-oriented investment approach that has generated strong annualized returns since inception with very low volatility.  We wish to thank all our investors for their continued support.”  

If you have any questions or comments, please contact Shannon Veitch at 416.847.1767 x510 or sv@aventine.ca. Thanks as always for your support.

Sincerely,

 

 

Click Image for Press Release

 

 

Link to Alternative IQ

 

Link to Aventine Stable Income

 

About Aventine Stable Income

 

The Aventine Stable Income Fund is an actively managed, low volatility income portfolio with a principal focus on bonds, preferred shares and high quality dividend paying equities. The primary goal of this Fund is to provide investors with a high level of tax effective income, while generating consistently positive investment returns overall. The Fund seeks exposure to a variety of income sources and considers the optimal portfolio as one which balances current yield with both capital preservation and long term inflation protection.

About Aventine Asset Management 

Aventine Asset Management is an independent, partner owned investment firm with a focus on capital preservation and long term growth. Aventine is currently the manager of two investment funds, the Aventine Canadian Equity Fund and the Aventine Stable Income Fund, distributed under prospectus exemption to qualified Canadian investors.

For further information please visit www.aventine.ca or email us at info@aventine.ca

This email communication is intended to provide you with information about Aventine Asset Management, a registrant with the provincial securities commissions of Alberta, British Columbia, Saskatchewan, Manitoba, Ontario, and Prince Edward island.  This email does not constitute an offer or solicitation to sell any products or services of Aventine to any person to whom it is unlawful to make such an offer or solicitation. 
2 Bloor Street West, Suite 3400, Toronto, ON M4W 3E2
Copyright 2017 Aventine Management Group Inc. All Rights Reserved.

 

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