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The Sub-Fund aims at capital appreciation via an active management of a diversified portfolio of international listed equity and equity-linked instruments (including but not limited to ordinary or preferred shares, convertible bonds, UCIs/UCITS). The Sub-Fund may invest in industry sectors such as, but not limited to, utilities, industrials, energy, materials and renewable energies. The objective is to provide investors with geographic diversification, relatively stable returns and income, participation in the global economic recovery and growth, relatively low correlation to other more classic asset classes, a degree of inflation protection, and high barriers of entry due to capital intensity of the business in the target sectors. The Portfolio Manager will implement an active management methodology based on a stock picking approach. Depending on financial market conditions, a particular focus can be placed on a single country and/or on a single economic sector.
Name | Title | Since | Until |
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Not Disclosed | - | 2015 | Now |
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