Panax is a risk-targeting investment strategy designed to deliver consistent, low double-digit returns while targeting volatility (risk) below 1/3 that of the S&P 500.
As deployed over the last four years, the strategy has delivered a 10.87% annualized return (before fees) with a volatility of 5% versus 16% for the S&P 500.*
Qualified professional investors can access the Panax strategy through the manager, Ginseng Capital Advisors Limited. Ginseng is a Hong Kong Securities and Futures Commission regulated asset manager.