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OBJECTIVE INVESTMENT
Providing medium and long-term profitability above the base interest rate (CDI), capturing potential gains in the markets (cash and derivatives): fixed interest and floating-rate, foreign exchange, debt, credit and fixed income markets abroad

 

INVESTMENT STRATEGY
The fund selects its investments through a long-term vision based on technical and fundamental analysis. To generate returns in currency markets, interest rates and credit, the Fund will seek to identify positions that are inherently cheap, which means they have the potential to maximize the results of the fund. Globally integrated management team, extensive macroeconomic analysis and careful risk control is an essential part of the investment process

 

INVESTMENT POLICY
The Fund will maintain a diversified portfolio of financial assets and / or existing operational modalities in financial and capital markets, observed also the criteria of composition and diversification described in its rules and standards in force.

 

MAIN FEATURES
Top of the Fund:
Acting markets:
Minimum Rate Management:
Management fee Maximum:
Performance fee:
Initial investment :
Minimum movement:
Minimum balance:


Audience :
Application quota:
Redemption share:
grace period:
Sale off :
Taxation :

 

Balance Sheet Information
On December 30, 2015
Quota :
Net worth :
Average Shareholders' Equity:

Manager:
Administrator :
custodian:
Auditor :
 

 

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