TAILWIND MODEL fund
ESTABLISHING THE BASELINE
ESTABLISHING THE BASELINE
Tailwind Multi-Asset Model Fund was designed to showcase the distinctive value and double bottom line opportunity with intelligent ESG integration – featuring “best-in-class” open-architecture, long-horizon focus, modernized risk tools, cost-efficient design, prudent fiduciary considerations, and transparent reporting.
The tangible framework fosters a deeper dive into sustainable investing with a critique of relative performance and market exposure across multiple dimensions and time periods. Kicking the tires and validating assumptions in a "real world" setting helps to isolate key drivers and uncover behavioral bias. Practical insight strengthens resolve and provides a useful "nudge" in accelerating thoughtful implementation.
With education, clarity, and credible validation – commitment deepens, bias diminishes, and the double bottom line emerges.