LEO PORTFOLIOS SIF - Obelisk Fund - D (USD)/  LU2107594173  /

Fonds
NAV15.10.2024 Zm.+6,0599 Typ dystrybucji dochodów Kategoria Firma inwestycyjna
940,6064USD +0,65% z reinwestycją Inwestycje alternatywne Światowy FundPartner Sol.(EU) 

Strategia inwestycyjna

The objective of the sub-fund LEO Portfolios SIF - Obelisk Fund (hereinafter the "Sub-Fund") is to achieve a total return by using a flexible top-down global macro investment strategy. The Sub-Fund intends to offer an exposure to global markets. It is understood that depending on market conditions, the Sub-Fund may be mainly exposed to Middle East and North African markets. The Sub Fund will follow a top down global macro approach to identify opportunities in different markets and across different asset classes. Based on his analysis, the Investment Manager will express a positive or negative top-down view on specific markets. Once the opportunity and direction (long/short) are identified, the Investment Manager will seek to determine the most efficient asset class to take advantage of these opportunities. Overall, the aim of the strategy is to ensure an asymmetric risk/return profile that delivers strong risk adjusted returns over time by using multi-asset classes. In order to achieve its investment objective, the Sub Fund will mainly offer an exposure to the following securities/asset classes: - equities and equity related securities (such as, but not limited to, ordinary or preferred shares, REITS), - debt securities of all types (including financial/corporate/public debt, short/long maturity bonds, fixed/variable rate securities, investment grade/high yield bonds), - money market instruments, cash and cash equivalents, - commodities (including precious metals).
 

Cel inwestycyjny

The objective of the sub-fund LEO Portfolios SIF - Obelisk Fund (hereinafter the "Sub-Fund") is to achieve a total return by using a flexible top-down global macro investment strategy. The Sub-Fund intends to offer an exposure to global markets. It is understood that depending on market conditions, the Sub-Fund may be mainly exposed to Middle East and North African markets.
 

Dane podstawowe

Typ dystrybucji dochodów: z reinwestycją
Kategoria funduszy: Inwestycje alternatywne
Region: Światowy
Branża: Pojedyncza strategia hedgingowa
Benchmark: -
Początek roku obrachunkowego: 01.01
Last Distribution: -
Bank depozytariusz: Pictet & Cie (Europe) S.A.
Kraj pochodzenia funduszu: Luxemburg
Zezwolenie na dystrybucję: -
Zarządzający funduszem: MRB Fund Partners AG
Aktywa: 19,13 mln  USD
Data startu: 11.03.2020
Koncentracja inwestycyjna: -

Warunki

Opłata za nabycie: 2,00%
Max. Administration Fee: 1,25%
Minimalna inwestycja: 1 000,00 USD
Opłaty depozytowe: 0,25%
Opłata za odkupienie: 2,00%
Uproszczony prospekt: -
 

Firma inwestycyjna

TFI: FundPartner Sol.(EU)
Adres: 15A, avenue J. F. Kennedy, 1855, Luxemburg
Kraj: Luxemburg
Internet: www.group.pictet/de
 

Aktywa

Alternatywne inwestycje
 
100,00%

Kraje

globalna
 
100,00%