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OBJECTIF
The objective is to achieve better performance than the no-risk rate, represented by the EONIA, regardless of the direction of the equities market. This performance is sought by linking it to volatility which is below that found on the equities market, represented by the EUROSTOXX 50 index.
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ASSET CLASSES
The Sub-fund will invest at all times in:
- European equities or equivalent financial instruments (such as ETFs): 0 - 100%;
- CFDs – Index-linked futures: 0 - 100%;
- monetary products: 0 - 100%. |
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TARGET
All investors, in particular investors seeking absolute performance with managed volatility. Exposure to the equities market though with limited directional risk. |
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PERFORMANCES
Sub-fund created on 16 November 2009 |