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About the Fund

The Blue Ocean Odyssey Fund is an actively managed, equity hedge fund strategy. It aims to drive alpha and deliver attractive rates of return over a one to three-year time horizon through the use of multiple strategies. The Portfolio focuses on developed markets with major emphasis in the United States, United Kingdom and European equities and consists of a concentrated portfolio of our best ideas. The Fund aims to maximize total absolute return, and therefore have a particular interest in securities with short/medium term catalysts and capital appreciation prospects.
Why this Fund ?download-icon

1.8 Year Track Record : Blue Ocean Odyssey have been implementing an equity hedge fund strategy since 2015.The fund is focused on developed markets with major emphasis in the United States.
2.Active Management : The Fund is actively managed and aims to harness our fundamentally driven, research focused investment process to drive alpha and to hedge risks accordingly.
3.Concentrated Portfolio : The Fund does not believe in capital allocation across multiple passive positions simply due to capital availability. We believe this results in dilution of our best investment ideas. The Fund is willing to remain in cash and strategically invest when our best ideas present themselves.

Fund from Blue Ocean Odyssey

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With a cumulative experience of over 50 years, the fund management team possesses a diverse range of expertise. They specialize in global equities, convertibles, arbitrage trading, and fundamental analysis. This allows them to effectively navigate the complexities of the financial markets and make informed investment decisions. Their deep understanding of global economic trends, market dynamics, and company fundamentals enables them to identify potential investment opportunities in global equities.

Fund from Blue Ocean Odyssey

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quote-img
With a cumulative experience of over 50 years, the fund management team possesses a diverse range of expertise. They specialize in global equities, convertibles, arbitrage trading, and fundamental analysis. This allows them to effectively navigate the complexities of the financial markets and make informed investment decisions. Their deep understanding of global economic trends, market dynamics, and company fundamentals enables them to identify potential investment opportunities in global equities.
Scheme Details

Launch dateMarch 2015
Minimum Investment$10,000
TermExit Load Year 1 : 2% , Year 2: 1% , Nil thereafter
Management Fee2% p.a.
Subscription DayLast working day of the month
Subscription Fees2%
Performance Fees20% up to 20% return and 40% over 20% return
Redemption DayLast working day of every month
Redemption FeeNo redemption fee
Notice period of redemption10 days

Medium Risk


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