The Tourbillon Strategic Investment Notes are exchange listed
products domiciled in Ireland and listed on the Vienna Stock
Exchange. The note’s primary investment objective is to deliver
capital appreciation through an increase of the Net Asset Value of
the underlying collateral portfolio. We offer investors two
separate notes, Dollar and Euro denominated, both priced from the
same underlying collateral asset base.
The notes give investors exposure to multiple strategies and
investment opportunities across numerous asset classes. The
products are structured as performance-linked notes which
efficiently track the performance of the Tourbillon Strategic
strategies. The products total return is captured in the Net Asset
Value (NAV) and displayed monthly on exchange.
The product offers investors monthly redemptions with low
management fees providing a highly liquid alternative to
traditional funds. This exchange listed vehicle provides
accredited investors and institutions access to sophisticated
trading strategies with a low minimum initial investment.
| USD ISIN | XS1789487508 |
| EUR ISIN | XS2411443216 |
| Base Currency | USD / EUR |
| Min Investment | 100,000 Notes |
| Liquidity | Monthly Redemptions |
| Exchange Listing | Vienna (Wiener Börse) |
| Issue Date | March 2018 |
| Underlying Assets | Equities, Indices, Derivatives, ETF’s |
| Markets | US, Europe, Large Cap, All Industries |
| Trade Duration | Short Term |
| Target Net Return | 10% |
| Long/Short Bias | Market Neutral |
| Issuing Agent | BNY Mellon |
| Investment Advisor | Tourbillon Advisory |
| Issuer | Alphanotes ETP DAC |
| Legal Advisors | Dillon Eustace |
| Auditor | EisnerAmper |
| Trustee | Waystone |
Tourbillon Advisory is run by a team with over 60 year's combined experience, spanning fund management, market making and trading across global equity markets with a focus on signals driven trading and arbitrage.
Systematic quant screen generates highly accurate trading signals. Allows robust monitoring of intraday moves and precise entry/exit points.
The intraday trading strategy returns to cash on a daily basis. Investment can be withdrawn monthly with one weeks notice.
Market neutral investing eliminates systematic risk. The product actively utilizes sector or index based hedging techniques.
Investments are highly diversified across countries and sectors. Strategies are uncorrelated with little or no market risk.
For more information including product factsheets and offering documentation please Contact Us.