Your access to leading
Global Hedge Fund
Managers

Your access to
leading Global Hedge
Fund Managers

Your access
to leading Global
Hedge Fund
Managers

About Us

BSP is a global firm that specializes in
hedge funds. With over 17 years of
innovation in the global hedge fund space,
the BSP group is recognized as a leader
within the Hedge Fund industry.

The BSP group utilizes Data Science and
sophisticated analytical systems enabling the
identification of outstanding global hedge funds.

BSP focuses on Hedge Fund solutions which
typically target relatively low net equity market
exposure (Low Beta). Returns are generated
predominately from the Hedge Fund Managers
skill (Alpha).

BSP is a global firm that specializes in hedge funds.
With over 17 years of innovation in the global hedge
fund space, the BSP group is recognized as a leader
within the Hedge Fund industry.

The BSP group utilizes Data Science and sophisticated
analytical systems enabling the identification of
outstanding global hedge funds.

BSP focuses on Hedge Fund solutions which typically
target relatively low net equity market exposure
(Low Beta). Returns are generated predominately from
the Hedge Fund Managers skill (Alpha).

BSP is a global firm that
specializes in hedge funds. With
over 17 years of innovation in the
global hedge fund space, the BSP group
is recognized as a leader
within the Hedge Fund industry.

The BSP group utilizes Data Science
and sophisticated analytical
systems enabling the identification
of outstanding global hedge funds.

BSP focuses on Hedge Fund solutions
which typically target relatively low
net equity market exposure
(Low Beta). Returns are generated
predominately from the Hedge
Fund Managers skill (Alpha).

Investment Philosophy

Research

A well-constructed
portfolio of hedge funds
based on a disciplined
research methodology can
preserve and grow capital.

A well-constructed portfolio of hedge funds based on
a disciplined research methodology can preserve and
grow capital.

A well-constructed portfolio
of hedge funds based on a
disciplined research
methodology can preserve
and grow capital.

Objective

Our objective is to provide
investors with a solution that
targets low beta to both equities
and bonds. These solutions aim
to provide consistent, risk
adjusted returns over the long
term and to withstand market
volatility across various market
cycles.

Our objective is to provide investors with a solution that
targets low beta to both equities and bonds. These
solutions aim to provide consistent, risk adjusted returns
over the long term and to withstand market volatility
across various market cycles.

Our objective is to provide
investors with a solution that
targets low beta to both equities
and bonds. These solutions aim
to provide consistent, risk
adjusted returns over the long
term and to withstand market
volatility across various
market cycles.

Focus

Our focus is on a bottoms up
approach in the search for
outstanding alpha orientated
managers. This has consistently
been a driver for our
outperformance. We constantly
seek the optimal balance of
risk and reward.

Our focus is on a bottoms up approach in the search for
outstanding alpha orientated managers. This has consistently
been a driver for our outperformance. We constantly seek the
optimal balance of risk and reward.

Our focus is on a bottoms up
approach in the search for
outstanding alpha orientated
managers. This has
consistently been a driver for
our outperformance. We
constantly seek the optimal
balance of risk and reward.

Access

Since 2005, BSP has offered
solutions which have enabled
qualified/accredited investors
access to a diversified group
of hedge funds, many of which
provide limited accessibility to
new investors.

Since 2005, BSP has offered solutions which have
enabled qualified/accredited investors access to a
diversified group of hedge funds, many of which
provide limited accessibility to new investors.

Since 2005, BSP has offered
solutions which have enabled
qualified/accredited investors
access to a diversified group of
hedge funds, many of which
provide limited accessibility to
new investors.

Investment process

quantitative

Powerful analytical
systems and data
science

QUALITATIVE

Disciplined qualitative
due diligence
methodology

operational due diligence

Rigorous operational
due diligence
process

macro

Macro top down
analysis

Strategies

Diversified across investment
Strategies and Funds

Focus:
Long Short Equity, Macro,
Systematic, Event-Driven and
Multi strategy Funds

Targets relatively low Beta to
Equity Markets

Diversified across investment Strategies and Funds

Focus: Long Short Equity, Macro, Systematic, Event-Driven
and Multi strategy Funds

Targets relatively low Beta to Equity Markets

Diversified across investment
Strategies and Funds

Focus: Long Short Equity, Macro,
Systematic, Event-Driven and
Multi strategy funds

Targets relatively low Beta to
Equity Markets

Concentrated high
conviction portfolio

Focus:
Long/Short Equity, Macro,
Systematic, Event-Driven
and Multi Strategy funds

Concentrated high conviction portfolio

Exposure to predominantly: Long/Short Equity, Macro,
Systematic, Event-Driven and multi strategy funds

Concentrated high conviction
portfolio

Exposure to predominantly:
Long/Short Equity, Macro,
Systematic, Event-Driven and
multi strategy funds

Focus:
Long/Short Equity Strategies

Targets relatively low Beta to
Equity Markets

Focus: Long/Short Equity Strategies

Targets relatively low Beta to Equity Markets

Focus:
Long/Short Equity Strategies

Targets relatively low Beta to
Equity Markets

Targets a leading concentrated
group of seasoned Long/Short
Equity managers

Flexible Beta to Equity Markets
aiming to provide strong returns
in bull markets and downside
protection during bear markets

Targets a leading concentrated group of seasoned Long/
Short Equity managers

Flexible Beta to Equity Markets aiming to provide strong
returns in bull markets and downside protection during
bear markets

Targets a leading concentrated
group of seasoned Long/Short
Equity managers

Flexible Beta to Equity Markets
aiming to provide strong returns in
bull markets and downside
protection during bear markets

Opportunistic exposure to
various specialist managers

Opportunistic exposure to various specialist managers

Opportunistic exposure to various
specialist managers

Multi Strategy

Diversified across investment
Strategies and Funds

Focus:
Long Short Equity, Macro,
Systematic, Event-Driven and
Multi strategy Funds

Targets relatively low Beta to
Equity Markets

Diversified across investment Strategies and Funds

Focus: Long Short Equity, Macro, Systematic, Event-Driven
and Multi strategy Funds

Targets relatively low Beta to Equity Markets

Diversified across investment
Strategies and Funds

Focus: Long Short Equity, Macro,
Systematic, Event-Driven and
Multi strategy funds

Targets relatively low Beta to
Equity Markets

Multi Strategy
concentrated

Concentrated high
conviction portfolio

Focus:
Long/Short Equity, Macro,
Systematic, Event-Driven
and Multi Strategy funds

Concentrated high conviction portfolio

Exposure to predominantly: Long/Short Equity, Macro,
Systematic, Event-Driven and multi strategy funds

Concentrated high conviction
portfolio

Exposure to predominantly:
Long/Short Equity, Macro,
Systematic, Event-Driven and
multi strategy funds

long/short equity

Focus:
Long/Short Equity Strategies

Targets relatively low Beta to
Equity Markets

Focus: Long/Short Equity Strategies

Targets relatively low Beta to Equity Markets

Focus:
Long/Short Equity Strategies

Targets relatively low Beta to
Equity Markets

long/short equity
concentrated

Targets a leading concentrated
group of seasoned Long/Short
Equity managers

Flexible Beta to Equity Markets
aiming to provide strong returns
in bull markets and downside
protection during bear markets

Targets a leading concentrated group of seasoned Long/
Short Equity managers

Flexible Beta to Equity Markets aiming to provide strong
returns in bull markets and downside protection during
bear markets

Targets a leading concentrated
group of seasoned Long/Short
Equity managers

Flexible Beta to Equity Markets
aiming to provide strong returns in
bull markets and downside
protection during bear markets

opportunistic

Opportunistic exposure to
various specialist managers

Opportunistic exposure to various specialist managers

Opportunistic exposure to various
specialist managers

Competitive advantage

Objectives

Objectives

ALPHA driven performance

Low Beta to equity markets

Consistent returns across
multiple market cycles

Low volatility of returns

Capital protection during
turbulent markets

How we do it

How we do it

Powerful analytical systems and
data science

Disciplined qualitative
due diligence methodology

Rigorous risk management

Access to leading funds with limited
accessibility to new investors

The enthusiasm of a startup with
over 17 years of experience

Our aim

Our aim

Capital Preservation

Global exposure

Diversification

Low Beta to equities and bonds

Team

Experience

The same management
team since inception

Building talent and expertise
since 2005

Personal relationships with
leading managers

A meeting point of people
and technology

The same management team since inception

Building talent and expertise since 2005

Personal relationships with leading managers

A meeting point of people and technology

The same management team
since inception

Building talent and expertise
since 2005

Personal relationships with
leading managers

A meeting point of people
and technology

Partners = Principals

Commitment

Alignment of interest

Sustainability

Collaboration

Commitment

Alignment of interest

Sustainability

Collaboration

Commitment

Alignment of interest

Sustainability

Collaboration

Research Team

Multi-Disciplinary

Strong analytical skills,
qualitative & quantitative

Length and breadth of
investment experience

Proven ability to navigate
crisis years

Multi-Disciplinary

Strong analytical skills, qualitative & quantitative

Length and breadth of investment experience

Proven ability to navigate crisis years

Multi-Disciplinary

Strong analytical skills,
qualitative & quantitative

Length and breadth of
investment experience

Proven ability to navigate
crisis years

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