Crescendo Capital
Crescendo Capital
Crescendo Capital

Fund Solutions

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Fund solutions

"Our investment solutions are flexible and dynamic. The wide range of robust internal and carefully selected external investment funds allows us to build attractive multi-manager portfolios that best meet the diverse needs of our clients." 

Geoffrey Perret, Head of Fund Solutions & Research 

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Fund solutions

Key Facts

 





  • Dedicated activity since 2004

  • Public and Private Market strategy expertise

  • Geneva-based, global reach

 

 

 

 

                       

 

Financial markets have been proven to be largely unpredictable over time. In order to protect your investments from the ups and downs of financial markets,

multi-manager solutions can offer downside protection through diversification.

 

Predicting future market behaviour is extremely challenging. Multi-Manager solutions can provide embedded insurance against unexpected market dislocations.

 

In selecting the best external investment managers in a given strategy, our solutions are able to be more agile in order to do both: generate performance

and protect capital.

 

 

 

 

Crescendo Capital

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fund solutions

Investment Philosophy

We believe that a disciplined approach to manager selection and asset allocation can generate attractive risk-adjusted returns over time. Investors who seek a multi-manager portfolio often seek downside protection and less volatility in performance results. At Crescendo, we meet the needs of our investors by listening to their performance objectives and risk tolerance in order to offer and construct a solution that is a best-fit.

Diversification is undoubtedly a material benefit of multi-manager solutions, but manager and underlying investment selection is also critical, as is an active and dynamic allocation of assets over time. Markets and opportunities are fast moving and our approach seeks to construct solutions that are both durable and flexible to changing market conditions. 

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FUND SOLUTIONS

Investment Strategies Offered

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Cilantro Multi-Strategy

This is our flagship multi-manager and multi-strategy hedge fund product. This fund has a 10 year track record of delivering long term capital growth through investments in a diversified portfolio of hedge funds. The fund seeks to deliver a return over a market cycle of between LIBOR plus 400 bps to LIBOR plus 600 bps.

Cilantro Global Trading

Launched in 2007, this fund has a long track record of delivering attractive absolute returns. The strategy aims to deliver returns that have a lower correlation to equity markets and achieves this by allocating to a carefully selected portfolio of hedge fund managers who largely pursue a short-term trading strategy, allowing them to anticipate and be reactive to dynamic market conditions.

Greentree High Yield

Launched in 2009, this fund provides returns generated from investing in U.S. high yield debt instruments on a direct basis. The management of strategy is sub-advised by Muzinich & Co., an independent firm founded in 1988 that manages over $20 Billion of assets in high yield corporate bond portfolios.

 

Bespoke Fund Solutions

In addition to our opened-ended funds that are open to all our investors, we also create and manage a number of bespoke and white-label funds for our investors. These can be Long Only, Hedge Funds, Private Lending or Private Equity funds. Crescendo’s existing fund structures and operational resources allow our clients to create ‘off the shelf’ fund structures while defining a portfolio strategy to best meet their needs.

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Crescendo Group Investment Funds, Solutions and Services
The data and information featured on this web site are provided free of charge and solely for information purposes. The information contained herein constitutes neither an offer to purchase nor a solicitation to sell and may not be construed as an investment recommendation on the part of Crescendo Group  its affiliates, managers, officers, or employees (hereafter “Crescendo”) and has no legal or contractual value.  Furthermore, any reference to a specific security in any published material  is included by way of illustrative example and should not be construed as a recommendation to purchase, hold or sell such a security nor does it in any manner constitute the provision of investment advice in relation to same. No measures have been taken to adapt and content on this site to an individual investor who remains responsible for his own independent decisions. Any investment in the funds, solutions or services presented on the web site must be made in conformity with the related legal documentation in force, as approved, where applicable, by the regulatory authority in your country. Investors are advised that they should consult the offering documents of any fund, solution or service before seeking to subscribe. Moreover, investors are also advised to consult their legal, financial or tax advisors before taking any investment decisions.

Tax Treatment
Tax treatment depends entirely on the financial situation of each investor and may be subject to change. It is recommended that investors obtain the appropriate expert advice before taking any investment decisions. The value of the units referred to may fluctuate and investors may not recoup all or part of their original investment. Investors should consult the offering documents for further details on the risks involved.

Disclosure in respect of Crescendo

Any reference to Crescendo in the material published on this website should be construed as being a reference to one or more of the legal entities, listed below, dependent on the particular jurisdiction in which it is being accessed.
Crescendo Capital S.A., registre du commerce de Genève with registration number CHE-111.788.255

Crescendo Venture Partners, Guernsey Registry, under number 65526

Crescendo Real Estate Partners, Guernsey Registry under number 56786

Lloyd Crescendo Advisors LLC, registered in the State of Delaware under number SR 20164563083

Crescendo Advisors International Limited, Guernsey Registry under number 49735

Crescendo Bahamas Ltd, Registrar General Bahamas under number 203292 B

Crescendo Greater China, Companies Registry of Hong Kong under number 2813866

Crescendo Uruguay (Bliyery SA) registered in Montevuideo Uruguay under number 6710546

Crescendo Private Capital Solutions Ltd, Companies House Cardiff UK, under number 8653075

 

 


Legal restrictions at local level
The data featured on this web site is presented on the date indicated therein, respectively on the date the data are first made available on the web site. Neither Crescendo nor any Funds, Solutions and Services give any guarantee, whether expressed or implied, as to the accuracy, reliability or completeness of the information provided on this web site and expressly rejects any guarantee concerning the adequacy of the web site for a given use. The information contained on this site is obtained from what are deemed to be reputable and reliable sources, but its accuracy cannot be guaranteed.


The funds presented on this web site are not authorized for distribution in all countries, and all sub-funds, classes of shares and, where applicable, categories of shares are not systematically registered in all jurisdictions and may not be available to all investors by virtue of their status. The information contained in the present web site is not intended for distribution to, or use by, natural or legal persons that are nationals of a country or subject to a jurisdiction of which the laws or regulations would prohibit such distribution or would require Crescendo  to be accredited in said jurisdictions. Access to information contained on the web site will not be authorized to any person subject to restrictions. Persons governed by a country where these investments are forbidden are requested to exit the web site.

Personal Data
All personal information provided via this web site (in particular your e-mail address), in accordance with the applicable laws and regulations will be considered as confidential. Nevertheless, Crescendo or any of its Funds, Solutions and Services reserves the right to use personal information obtained which concerns you, in addition to technical and navigation information, such as browser type, Internet protocol address, pages visited and average time spent on this Internet site. Despite all the precautions in place, users of this site expressly agree that the Internet network does not constitute a secure means of communication of information and that they use the Internet at their sole risk. Crescendo will not be responsible for any loss or damage, which could result from the interception by third parties of the information, which is made available to you on this site. Crescendo will not be held responsible, in particular for loss or damage which may result from a breakdown or an interruption of this site or an error, omission, interruption, deletion, defect, delay of operating or transmission, computer virus, communication line fault or alteration, even if the circumstances causing the event may have been within the control of Crescendo and the Fund or any provider of services or software assistance. Neither Crescendo nor any Funds, Solutions and Services, even if informed of the possibility of such damages, will be held responsible for any type of damage suffered by you.

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This web site may direct you to automatic links to other web sites. Use of these links is made at your own risk. Crescendo will not have developed, verified the accuracy or scrutinised the data contained in the aforementioned links. Crescendo may not be held responsible for damage or losses caused by delays, defects or omissions that may exist in the real, indicated or indirect services, information or other content provided on this site. Crescendo gives no guarantee, makes no declaration and will not be held responsible for any content transmitted by electronic means to a third party, including the accuracy, subject, quality or the appropriate character of said content.

Investment risk
Investors are reminded that past performance is not an indicator of future returns, nor does it guarantee future profits, and that they risk, in some cases, losing all or part of the amount initially invested. An investment may increase or decrease by virtue, in particular, of market fluctuations and exchange rate variations in the currency in which a fund is invested where this differs from the currency of the shareholder.

No Offer
The provision of information or data contained in the present document does not in any way constitute an offer or a recommendation to buy or sell shares in a fund’s units. Furthermore, any reference to a specific security in any document is included by way of illustrative example and should not be construed as a recommendation to purchase, hold or sell such a security nor does it in any manner constitute the provision of investment advice in relation to same

Material interests
It is possible that companies linked to a fund or their directors, managers or personnel hold or have held interests or positions in the securities mentioned on this web site or may have negotiated or acted as “market maker” for these securities. Moreover, these entities or persons may maintain – or have maintained – a relationship with the directors of the companies issuing the aforementioned securities, provide – or have provided – to these last financial or other services, or further may act or have acted as directors in the companies in question.

Taxation
The tax treatment depends upon the personal situation of each investor and may be subject to modification. Before taking any investment decision whatsoever, all investors are recommended to seek specific advice from a professional in the sector.

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Crescendo holds the copyrights to all the works appearing on this web site, in particular, the images, text, iconographic representations and documents which may be downloaded from this web site. Reproduction and use of all or part of this web site, by whatever means, is strictly prohibited without the prior written consent of Crescendo.Pages and/or sections of the web site may however be downloaded or printed on paper in the sole context of a strictly personal use, subject to the annotations relating to copyrights or intellectual property rights not being deleted. Downloading or all other form of copying information provided on this web site does not grant any right to the information. This web site may not be reproduced (in whole or in part), transmitted (by electronic or other means), modified or used for public or commercial purposes, and links to this site may not be created without the prior written consent of Crescendo . The names of Crescendo and funds, in addition to the logos associated with them, constitute registered trademarks. You may not reproduce, delete, re-use or modify in any way whatsoever the distinctive signs featured on the pages of this Internet site.

Prohibition on the practices of “late trading” or “market timing”
The funds described apply a policy of subscriptions, conversion and redemptions by forward pricing. Practices such as “late trading” and “market timing” are not authorized and Crescendo reserves the right to refuse subscription and conversion orders from an investor who is suspected of practicing this type of behaviour  and, where applicable, to take the measures necessary in order to protect the Funds’ shareholders. The term “late trading” means the acceptance of a subscription, switching or redemption order received after the closure cut-off time scheduled for the acceptance of orders on the relevant transaction day and its execution at the price based on the net asset value applicable on that same day. The practice of “market timing” consists of a form of arbitrage by which an investor systematically subscribes to, redeems or converts shares of a fund within a short lapse of time, using the discrepancies between time zones or imperfections or failures in the systems for calculating the net asset value of the Fund. The practice of “market timing” can interfere with the management of investment portfolios and affect the performance of a fund. Subscription, conversion or redemption orders received after the closure cut-off time scheduled for the acceptance of orders on the relevant transaction day will be rejected. By clicking on the “I Accept and confirm I am a Professional Investor” button, visitors to this web site expressly acknowledge that they have read this warning and that they are authorized by the applicable law to access this web site”.

 

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