The objective of this Sub-fund is to provide its investors with a long-term appreciation of their investment by investing (either directly or by using derivative financial instruments) in the credit market through a portfolio consisting mainly of fixed- or floating-rate securities (comprising, without any distinction of rating, all types of bonds, including in particular convertible bonds, contingent convertible bonds, issued by companies and governments) and of money-market instruments.
The Sub-fund may also invest in time deposits and hold cash in an ancillary capacity. These investments may be made in all markets and in all currencies. It may also invest without limitation in securities that come within the scope of rule 144A of the 1933 “Securities Act” of the United States of America, as amended.
Entre los fondos de la categoría Alt - Long/Short Deuda, que invierten en Gestion Alternativa, el fondo OYSTER Flexible Credit, con ISIN LU1045039184, de la gestora SYZ Asset Management (Luxembourg) SA se sitúa en la posición . En los últimos 12 meses ha obtenido una rentabilidad del 0,00% con una volatilidad del 0,00%. El patrimonio total asciende a 59.640.269 EUR a fecha de 19 de November de 2017.