The objective aims to achieve the greatest profitability by assuming the least possible risk, without continuing or replicating any reference index.
Invest in variable and fixed income values, national and international, of public or private issuers. The fund invests in quoted actions of the EU and the US environment, and uses replicators or ETFs and funds to invest in emerging countries and others.
The IIC operates with derived instruments negotiated in organized markets with the purpose of coverage and investment. Exposure to variable income can range between 0% and 100% of equity.
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