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The displayed strategies, also known as alternative
investments, answer precisely that issue, and are implemented to reach the following goals:
- Search for an absolute performance in the 15-20%
range per annum in US dollars.
- Have a level of risk that is more than compensated
by the return achieved and a limited downside risk.
- Strategies'returns must exhibit low or even negative
correlation with the world equity market.
All strategies operate in precise market niches with a specific investment style and their performances are externally
audited.
Although there are ideal instruments to improve portfolios' risk-adjusted return, these investments strategies
should not be considered by risk averse investors or short-term traders, as the minimum investment period ranges
from two months to one year.
For more information, please contact the Company.
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