The aim of the Fund is to provide capital growth and income in all market conditions over the long term. The Investment Manager will have a broad range of markets and asset classes to help them try to achieve this aim. The Fund looks globally to exploit market inefficiencies through active allocation to highly diversified market positions. The Fund will utilize a combination of traditional assets (such as equities, bonds, currencies and other UCITS or UCI) and investment strategies based on advanced derivative techniques resulting in a highly diversified portfolio. The Fund can take long and short positions in markets, securities and groups of securities through derivative contracts.
Rentabilidad a 3 años frente al resto de fondos de la categoría Alt - Multiestrategia
- Frente a la categoría
- Frente a la gestora
Entradas y salidas de dinero mensuales.