Qbera’s goal is to identify and act on market inefficiencies where “perceived risk” is higher than the “real risk”. We do this by deploying a bottom-up investment approach with strong top-down overlay coupled with robust risk mitigation and exit strategies.
Fund / Strategy
Alternative credit fund strategy with an Impact Investment focus. The Fund will leverage off of Qbera’s bespoke market leading impact assessment methodology in order to construct the portfolio.
Key Impact Criteria include:
• Job Creation • Food Security
• Environmental and Social Responsibility