| | This investment policy suits those looking for significant long-term appreciation, who are prepared to accept the major fluctuations inherent in stock markets linked to commodities. Commodities and natural resources have a long-term cycle of growth driven by the combination of constantly growing demand and stagnating supply.
Assets are invested in shares in international companies and structured instruments listed on the stock exchange, which are linked to commodities and natural resources (energy, precious metals, agriculture, electricity, industrial metals, etc.).
The investments have solid fundamentals and attractive valuations. Values will be selected on the basis of a detailed fundamental analysis with a focus on growth potential. The investments have a good ratio of growth potential to risk of loss, based on conservative hypotheses.
Flexibility is one of the major advantages of this fund, which is allowed to invest up to 49% of its assets in liquidities when conditions in the commodities market are unfavourable in the short or medium term.
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