The objective of the Sub-Fund is to achieve capital appreciation over the long term. The Investment Manager follows a qualitative and/or systematic risk-based asset allocation approach. According to the risk-based asset allocation approach, the weight of any given asset or asset class is adjusted with regard to its contribution to the overall risk profile of the Sub-Fund. Other things equal, the higher the risk of fluctuation of the value of an asset or asset class, the lower its weight in the portfolio. For each asset or asset class, the risk is calculated using proprietary models analyzing price movements.
Información sobre el fondo de inversión LO Selection Capital Preservation
El fondo LO Selection Capital Preservation, con ISIN, LU0974392812 de la gestora LOMBARD ODIER IM pertenece a la categoría Alt - Multiestrategia dentro de los fondos de Multi-Alternativos