OPIM and Counterpoint Announce Innovative Fund for Investors

Re-Launch of Counterpoint Asian Macro Master Fund
OP Investment Management Ltd. ("OPIM") has teamed up with Geoffrey Barker to introduce the Counterpoint Asian Macro Master Fund. This innovative fund aims to address and benefit from the rapidly changing macroeconomic landscape.
Strategic Leadership and Experienced Team
The fund is steered by Geoffrey Barker, a macro investment strategist with a wealth of experience accumulated over three decades in global markets. His previous role as Chief Economist for Asia-Pacific at HSBC has equipped him with unique insights into regional economic trends. Barker is supported by a seasoned Counterpoint team, which includes Nick Bibby as Macro Strategist, Neil Scrase as Head of Business Development, and Maurien Yau serving as Financial Controller.
Injecting New Ideas into Macro Investing
"Counterpoint represents a fresh perspective on macro investing that successfully combines thorough top-down analysis with adaptability," stated Geoffrey Barker. He expressed enthusiasm about the partnership with OPIM, emphasizing the venture's commitment to sharing innovative strategies with wealth managers worldwide.
Current Macro Investing Climate
The timing for this fund’s launch is significant, considering the heightened relevance of macro investing today. Several crucial factors are influencing this trend:
Geopolitical Volatility
The shifting dynamics in global geopolitics are altering the stability of established markets. This volatility creates unique, asymmetric investment opportunities in foreign exchange, government bonds, and interest rate moves.
Divergence in Central Bank Policies
Different strategies employed by central banks are leading to varied monetary policies. Investors now have a prime opportunity for strategic macro positioning tailored to these differences.
Risk Repricing Across Markets
As risk is reassessed in developed market arenas, there are openings for strategies that can adeptly manage uncertainty while maintaining a sharp focus on agility.
Investor Demand for Macro Strategies
There is a growing appetite among investors for macro strategies as they seek enhanced diversification and protection against potential downturns in equity and credit sectors.
Heightened Institutional Interest
Alvin Fan, CEO of OPIM, noted that institutional interest in actively managing macro investments is peaking, particularly with fundamental shifts occurring in traditional markets. "The approach taken by Counterpoint is not only bold and strategic but is also backed by top-tier risk management. This aligns with the innovative ethos we nurture at our firm," Fan remarked.
Key Partnerships Enhancing the Fund
The Counterpoint Asian Macro Master Fund has secured essential partnerships with top-tier financial institutions. Morgan Stanley will serve as the prime broker and custodian, while Citco will handle administration. Additionally, the fund will be audited by KPMG, with legal support from DLA Piper and Mourant Ozannes.
The Role of OPIM
About OP Investment Management Ltd., it thrives as a platform supporting emerging managers in creating innovative strategies aimed at both institutional and professional investors. Since 2004, OPIM has been a leading force in the Hong Kong asset management scene, licensed by the local Securities and Futures Commission (SFC) to conduct regulated activities such as dealing in securities and asset management. These efforts focus exclusively on professional investors.
Frequently Asked Questions
What is the Counterpoint Asian Macro Master Fund?
It is a newly launched fund by OPIM aimed at capitalizing on macroeconomic trends in Asia.
Who leads the Counterpoint Fund?
Geoffrey Barker, a seasoned macro investor, leads the fund, supported by a team of experienced professionals.
What are the main investment strategies of the fund?
The fund focuses on employing rigorous analysis combined with tactical agility to navigate market challenges.
Why is now a good time to invest in macro strategies?
The current global economic landscape is characterized by volatility, diverging central bank policies, and increased investor demand for diversification.
How is OPIM positioned in the asset management industry?
OPIM is a prominent asset management firm established in Hong Kong, focusing on innovative strategies for institutional investors.
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