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INITIALIZING PORTAL • 000%

Asia Opportunities Strategy

Positioned for the structural shifts remaking Asian consumption, manufacturing and technology over the next decade.

RETURN METRIC

15.4%

annualised return since inception

RISK PROFILE

High

High
INCEPTION DATE

2021

Track record established

MANDATE TYPE

Asia

Specialist allocation

Strategy Framework

Three Pillars of Our Research Mandate

How our investment team analyzes opportunities, evaluates competitive moats, and manages risk.

Target
Investment Objective

To capture long-run structural growth across Asian markets through direct company research rather than macro forecasting.

Core Belief
Investment Philosophy

Asia's markets are frequently mispriced by investors extrapolating short-term headlines. We spend our time on-the-ground with management teams and suppliers to find the structural stories others miss.

Execution
Portfolio Approach

Concentrated exposure across China, India, Korea, Taiwan and the ASEAN economies, weighted toward companies benefiting from rising domestic consumption and regional supply-chain shifts.

Asset Breakdown

Portfolio Allocations & Exposures

Current target exposures across geographies and industry verticals based on fundamental conviction.

Geographic Exposure (% of AUM)

China

26%

India

22%

Korea

18%

Taiwan

16%

ASEAN

18%

Sector Exposure (% of AUM)

Technology

24%

Consumer

23%

Financials

18%

Industrials

15%

Healthcare

10%

Other

10%

Historical Simulation

Growth of a Hypothetical Investment

Comparing strategy return performance against broader benchmark indices over time.

Growth of $100 — Illustrative Simulation

Strategy: 151

Benchmark: 132

20202026

Illustrative strategy performance. Past performance is not a reliable indicator of future performance.

Risk & Suitability Profile

High Risk Mandate

This strategy invests in high-conviction equities where valuations and returns can fluctuate over short-to-medium cycles. Sizing is governed by margin of safety and disciplined capital preservation criteria.


Key Suitability Considerations:

Investors seeking long-term capital appreciation over a 5+ year horizon.

High-conviction, bottom-up fundamental strategy independent of benchmark weightings.

Tolerance for short-to-medium term equity market fluctuations.

Access via wholesale/institutional direct mandates or major custodial platforms.

Portfolio Leadership
Elena Marchetti
Elena Marchetti

Portfolio Manager, Global & European Equities

Portfolio Management

Elena leads the Global Equities and European Fund strategies. Before joining Bern Capital Venture, she spent extensive years in equity research covering industrials and financials across London and Milan.

Meet the Full Team
Access & Onboarding

How to Invest

Structured for institutions, wealth managers, and qualified individual investors.

1. Direct Portal Application

Open and manage your account online with verified digital onboarding.

2. Via Financial Adviser & Platforms

Available on major custodial and investment reporting platforms.

Start Onboarding
Official Fund Documentation
Product Disclosure Statement
PDS · PDF
Target Market Determination
TMD · PDF
Application form
Form · PDF
Latest quarterly report
Report · PDF
Proprietary Research

Latest Insights on this Mandate

Read market commentary, sector deep-dives, and quarterly letters from our portfolio managers.

Invest in the Asia Opportunities Strategy.

Speak with our client engagement team or start your investment application online.