Investment Details
Investor Type
Hedge Fund
Asset Class Focus
Equities, Rates, FX, Convertible Debt, Corporate Bonds, Credit, Equity Derivatives
Stage Focus
Growth, Late Stage, Pre-IPO, Buyout, Turnaround, Distressed
Geographical Focus
United States, United Kingdom, Canada, Germany, Hong Kong, Japan, Australia, Europe, China, India, Brazil, France, Italy, United Arab Emirates, Spain, Mexico, South Korea, Saudi Arabia, South Africa, Russia, Southeast Asia
Industries Focus
- Financial Services
- Technology
- Healthcare
- Energy
- Consumer Goods
- Industrials
- Real Estate
- Materials
- Telecommunications
- Utilities
- Media
- Transportation
- Consumer Services
- Basic Materials
- Consumer Non-Durables
Investment Size:
1,000,000 to 50,000,000 USD
Investor Details Founded: 2011
Myriad Opportunities Master Fund is a Hong Kong-based hedge fund specializing in multi-strategy investments across various asset classes and geographies. The fund focuses on generating alpha through investments in equities, rates, foreign exchange, convertible debt, corporate bonds, credit, and equity derivatives. It employs a strict risk management approach and primarily targets large institutional investors.
The fund's investment strategy is diversified across multiple stages, including growth, late stage, pre-IPO, buyout, turnaround, and distressed situations. Geographically, it has a broad focus, investing in regions such as Hong Kong, the United States, China, Southeast Asia, Europe, Japan, South Korea, India, Australia, Canada, Brazil, Mexico, the United Kingdom, Germany, France, Italy, Spain, Russia, South Africa, Saudi Arabia, and the United Arab Emirates. The fund's industry focus spans technology, healthcare, financial services, consumer goods, energy, materials, telecommunications, utilities, real estate, industrials, consumer services, basic materials, consumer non-durables, transportation, and media.
Established in 2011, Myriad Opportunities Master Fund has a track record of delivering double-digit net returns in 2021 and 2022. In January 2023, the fund returned capital above the high water mark, reflecting its commitment to delivering value to investors. The fund's leadership team, including CEO and Chief Investment Officer Carl Huttenlocher, brings extensive experience in the hedge fund industry, contributing to its strategic direction and investment decisions.
Requirements
- Accredited Investors
- Institutional Investors
- High Net-Worth Individuals
Contact
[Official Website Hidden]
[HQ Location Hidden]
[Email Hidden]
[Contact Number Hidden]
Portfolio Companies
- Alibaba Group
- Tencent Holdings
- Samsung Electronics
- Toyota Motor Corporation
- HSBC Holdings
- BP
- Nestlé
- Apple Inc.
- Microsoft Corporation
- Amazon.com
- Facebook Inc.
- Google LLC
- Johnson & Johnson
- Pfizer Inc.
- Exxon Mobil Corporation
- Chevron Corporation
- Coca-Cola Company
- PepsiCo Inc.
- Walmart Inc.
- Procter & Gamble Company
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