PAM Universal Fund Series SPC
The best way to predict the future is to create it
– Peter Drucker
PAM Universal Fund Series SPC
Founded in 2003, PAM Universal Fund Series was established alongside its fund management company and is registered in the Cayman Islands. For over two decades, our professional team has been dedicated to asset management—carefully selecting investment opportunities, executing dynamic hedging and investment strategies, and consistently delivering stable returns for our investors. Our clients include high-net-worth individuals, corporate entities, listed companies, and international family offices. We are grateful for the continued trust and support of our partners, which has allowed us to navigate global economic cycles and market challenges together. We operate with a mindset of "walking on thin ice"—always prioritizing risk control and long-term asset growth.
Platform & Structure
PAM Universal Fund Series is built on an umbrella fund platform, offering:
- Multi-Strategy Operations: Each fund operates independently, with unique investment philosophies and trading strategies.
- Customized Solutions: Bespoke fund structures can be tailored to meet specific investor goals and preferences.
Our Mission
Our goal is to be a trusted long-term partner for professional investors and exceptional fund managers. Looking ahead, PAM Universal Fund Series remains focused on:
- Enhancing the stability and sustainability of investment performance
- Helping families, institutions, and talented managers create their own "dream fund"
Point

Product and Service
Customized Private Funds – Offshore Asset Allocation & Family Office Solutions
We offer customized private fund structures for high-net-worth individuals, family offices, and institutional investors to support global asset allocation and alternative investment strategies. With flexible fund structures and a professional management team, we aim to meet investors’ needs for wealth preservation, capital growth, and multi-generational wealth transfer.
This tailored service includes investment strategy design, risk management, liquidity planning, and regulatory compliance. It is ideal for offshore asset deployment, special-purpose investments, or family wealth management planning.
Multi-Strategy Management
The MFSP Multi-Asset Management Strategy is our flagship fund and has delivered consistent long-term performance for over two decades. Initially founded with a core focus on CTA (Commodity Trading Advisor) strategies, it has evolved into a comprehensive multi-asset strategy as markets and techniques have developed.
Today, the fund incorporates equity market exposure alongside its original coverage of futures, interest rates, foreign exchange, and commodities. By integrating systematic models to participate in global equity index futures and selected stock positions, the strategy enhances adaptability and return potential, while maintaining its trend-following core and disciplined risk management principles.
Fixed Income Strategy
This strategy primarily invests in short- to medium-term investment-grade bonds, with a core focus on U.S. corporations that offer strong credit ratings and stable cash flows. Through rigorous credit screening and duration management, it aims to deliver steady income and attractive risk-adjusted returns.
It is particularly suitable for investors seeking capital preservation and consistent income over the medium to long term. A regular distribution mechanism provides a stable income stream within the overall portfolio.
Managed Futures Strategy
This strategy is managed by an independent asset management firm headquartered in Zug, Switzerland, specializing in alternative investments. It employs a systematic, multi-asset trend-following strategy, using quantitative models to identify medium- to long-term market trends and execute both long and short positions.
The strategy spans major global asset classes—including agriculture, energy, metals, equities, interest rates, and foreign exchange—offering high diversification and robust risk controls. Positions are dynamically adjusted based on market trends, aiming to capture structural returns across different market cycles. All trades are executed via algorithmic systems to eliminate emotional decision-making, with a risk-based approach to asset allocation.
As of July 2025, the firm manages approximately USD 710 million in assets under management.
Fund NAV
| Fund Name | Currency | Latest Price | Date | Monthly Return | YTD Return | Remark |
|---|---|---|---|---|---|---|
| Managed Futures Segregated Portfolio(Class A) | USD | 2423.83 | 2025/9/30 | 7.22% | 6.86% | |
| Managed Futures Segregated Portfolio (Class B) | USD | 1617.42 | 2025/9/30 | 7.05% | 5.32% | |
| JC Intelligence Segregated Portfolio (Class A) | USD | 959.35 | 2025/9/30 | 13.38% | -14.36% | |
| JC Intelligence Segregated Portfolio (Class B) | USD | 826.38 | 2025/9/30 | 13.77% | -14.86% |
* The most recent month NAV is preliminary.
Weekly Performance
| Fund Name | Currency | Estimated Price | Date | Weekly Return | Monthly Return | YTD Return |
|---|---|---|---|---|---|---|
| Managed Futures Segregated Portfolio(Class A) | USD | 2490.77 | 2025/10/24 | -0.59% | 2.76% | 9.82% |
| Managed Futures Segregated Portfolio (Class B) | USD | 1659.40 | 2025/10/24 | -0.59% | 2.60% | 8.05% |
| JC Intelligence Segregated Portfolio (Class A) | USD | 977.90 | 2025/10/24 | -3.99% | 1.93% | -12.70% |
| JC Intelligence Segregated Portfolio (Class B) | USD | 843.63 | 2025/10/24 | -4.04% | 2.09% | -13.09% |
* The most recent NAV is provided and estimated by PAM Research for investor's reference only. The monthly NAV shall prevail if any inconsistence exists.
Contact Us
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