Ginjer Actifs 360 : Part I
Individual
Investment strategy
Ginjer Assets 360 is a diversified fund that uses several performance drivers: convertible bonds, fixed income and money market products, hedging derivatives and equities.
All investments are made in the Europe zone and come from diversified active management that can range from 0 to 100% on each of the underlyings. Management seeks to value its assets each year by minimizing the risk of fluctuations.
The objective is to offer the investor a minimum return, each year, net of management fees, higher than the €STR index + 2%. In view of the strategy envisaged, the UCITS does not present a reference indicator since it will seek to capture indifferently the long-term positive trends of the traditional markets.
Subscriptions-Redemptions
The related regulations are made on the second non-holiday business day following the date of the net asset value.
Each unit may be divided into thousandths of a unit. GINJER
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