We don’t view these as a distinct asset class rather than a complementary way of gaining exposure to traditional asset classes. This translates to Boyd Capital Partners avoiding funds which are not consistent with their investment strategy in liquidity terms. Funds are selected both for their ability to generate healthy returns and their inherent features which allow them overcome volatility and protect invested capital during these sometimes unpredictable market conditions.
Boyd Capital Partners originated as a manager of Institutional Investment Portfolios who entrusted their assets to a company closely aligned with their own interests. In addition we have private clients from high-net worth individuals to private retail investors all over the world.