Australian Hedge Funds produced positive returns in February, but for many managers it was a tough month.
Equity markets started the month much as January left off, with concerns over new legislation in the US, Greeceās sovereign debt issues possibly spreading elsewhere in Europe, and potential credit tightening in China all combining to prompt hedge fund managers to take risk off the table.
For detailed analysis of performance for each strategy, industry comment and ranking tables, please open the attached .pdf file.
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