Professionalism, transparency and integrity are core and central to the Avon philosophy and its fiduciary responsibility.

Avon focuses on alternative asset classes to which institutional investors may have limited exposure, and assists them achieve a higher level of diversification in their investment portfolios whilst providing an attractive risk-return profile.

Avon forms strategic alliances with industry experts and top tier professional firms in the formulation of investment strategies and initiatives, and the identification and execution of such opportunities, in order to provide institutional investors with investment products that meet their specific needs. While each opportunity is unique, these investment strategies must provide Avon's clients with: (i) an attractive yield, along with downside protection (where appropriate) over the longer term, (ii) diversification of risk, (iii) low correlation to traditional asset classes, and (iv) a pipeline of identified deals to allow effective and timely deployment of investment capital.