OmniQuest I, LLC pursues a highly selective, differentiated strategy designed to generate high risk-adjusted returns by investing in a concentrated "best ideas" portfolio of fundamentally diverse hedge funds. The Fund invests with high-expected return managers that demonstrate edge, expertise and effective risk management in their respective markets. These managers often invest in concentrated portfolios, illiquid securities, inefficient markets, and employ niche strategies. Despite the high-risk nature of many of the individual managers, the portfolio is structured to achieve a low-to-moderate level of volatility by combining non-correlated styles and strategies, invested across all global asset classes. OmniQuest's primary objective is to optimize its risk/return profile given the continuously changing investment environment.