Anson Funds is a leading privately held alternative asset management firm that invests primarily in publicly-traded equity and debt securities worldwide. Established in 2003, Anson Funds has built a reputation for its activist investing strategy, which involves taking significant positions in companies and pushing for changes to unlock value for shareholders. The firm prioritizes net-of-fees performance with low volatility of returns, and low correlations to broad market indexes.
ABOUT ANSON FUNDS
Anson Funds is a collection of privately-held onshore partnerships and offshore companies investing primarily in publicly-traded equity and debt securities worldwide.
The firm seeks to generate returns that are uncorrelated with broader market movements, allowing investors to benefit from more diversified, stable returns.
While the firm is known for its equity investments, it also explores opportunities in the debt market to provide a diversified portfolio and take advantage of different types of assets for value creation.
ANSON STRATEGIES
Anson Investments.
Global long-short fund launched in 2007.
Anson Opportunities.
Concentrated opportunistic fund launched in 2016.
Arch Anson Absolute Return Real Estate Fund.
Global long-short real estate fund launched in 2018.
Arch Anson Absolute Return Real Estate Fund.
Long-biased relative strength fund launched in 2020.