Be Fraud Aware: By staying vigilant, you can help yourself from being the victim of fraud.

The Cantor Fitzgerald Cash Fund is a portfolio of primarily short-dated bonds and cash deposits, that can generate an attractive yield while providing capital security

Fund Objective

The Cantor Fitzgerald Cash Fund is designed to provide capital security for pension fund investors approaching retirement. It may also be used as a short-term “safe-haven” by investors in times of market uncertainty. The Fund promotes a range of environmental and social characteristics and is categorised as Article 8 in accordance with SFDR.

Investment Process

Our proven and robust three-pillar investment process focuses on macro-economic, valuation and technical analysis and we are dynamic in our approach to asset allocation and stock selection.

 

Article 8

 

The Fund promotes a range of environmental and social characteristics, and is categorised as Article 8 in accordance with SFDR.

 

Factsheet

Cash Fund Factsheet

pdf

KID Documents

Cash Fund – Class A

pdf

Cash Fund – Class B

pdf

Cash Fund – Class C

pdf

TEAM

We are Cantor Fitzgerald

Pearse MacManus

Director of Asset Management – Head of Macro and Risk Analysis

Pearse is Director of Asset Management at Cantor Fitzgerald Asset Management Europe and has 30 years’ experience in the investment industry. Prior to joining Cantor Fitzgerald, Pearse worked as a fixed income fund manager at Hill Samuel Asset Management in London. He joined Merrion Investment Managers from GE RE Management Services, where he headed up the investment team. Pearse holds a BA in Economics from Trinity College Dublin and is a member of the CFA UK.

READ MORE

Philip Byrne

Chief Investment Officer – Head of Equity Investments

Phil is the Chief Investment Officer with over 15 years’ experience in the industry. He previously worked as a fund manager at GLG Partners and as an equity trader for Deutsche Bank. Phil holds a BA in Business and Finance from Trinity College Dublin and an MSc in Investment Management from Cass (now Bayes) Business School, London City University.

READ MORE

Conor McDermott

Senior Fund Manager – Head of Trading & Technical Analysis

Conor is a Senior Fund Manager with over 20 years’ investment experience who is on the Multi-Asset Investment committee. He is also the Head of Trading and Technical Analysis. Previously he held roles at Pioneer Alternative Investments, Bloxham, and Positive Equity. He is a Chartered Market Technician and Chartered Financial Analyst (CFA Institute) – currently the only person in Ireland to hold both designations. He also holds a BSc in Business Studies (Finance) from Technology University Dublin.  

READ MORE

Diarmaid Colreavy

Fund Manager – Digitalisation Specialist

Diarmaid is a Fund Manager and the teams Digitalisation Specialist. He has held prior roles as an equity analyst at AGF Investments, an investment risk analyst at Mediolanum Asset Management, and began in the industry as a trader at Geneva trading in 2012. Diarmaid holds a BA in Business and Economics from Trinity College Dublin and is also a Chartered Financial Analyst (CFA Institute) and holds the CFA Institute Certificate in ESG Investing designation.

READ MORE

Graham O’Brien

Fund Manager – Real Estate and Infrastructure Specialist

Graham is a Chartered Financial Analyst and a Chartered Accountant. He has in excess of 15 years’ investment experience having joined Cantor Fitzgerald Ireland in 2014 with previous experience in banking and private equity. He has carried out in-depth due diligence and led investments into private infrastructure projects, including investment in solar farms and renewable energy companies. He also has extensive property experience having set up and manged two property funds on behalf of Cantor Fitzgerald Ireland.

READ MORE

Nick Scully

Investment Analyst – Deglobalisation Specialist

Nick is a  Investment Analyst who has worked in the financial services industry since 2019. He joined the company in 2023 from Infosys BPM where he worked with several analysts in the Industrial and Pharmaceutical industries to build in-depth financial models on European Equites. He has also spent two years at Fidelity International where he earned his Introduction to Securities and Investments certificate from CISI in the UK. He completed a master’s degree in Geopolitics and the Global Economy from UCD in 2019.

READ MORE