Visio funds target positive returns on capital invested, irrespective of market conditions. Visio funds are traditionally net long and carry limited derivative positions. Portfolio churn is low and the average holding period for investments in the portfolios exceeds 12 months.

Fund Risk Profiles

High Return Low
Low High Risk

Visio Fund Offering

Craig French > Head of Business Development

We aim to protect, preserve and grow our clients’ capital across Visio’s tailored product offerings. Our actively managed funds offer clients a range of investment solutions across domestic, Africa and global equities, multi-asset, hedge, fixed income and property portfolios.