Main \ Analysis List \ BSP Absolute Return Fund of Funds – Multi Strategy
The fund strives to spread its investments across different investment strategies to achieve an optimal return-risk ratio, with a low correlation to market risk. Its investment strategy is based on the following: a low beta index against the market indices, maintaining flexibility in the strategy of assembling investment portfolios and spreading investments across a variety of base funds.
View also: BSP Absolute Return Fund of Funds – Quattro
מלאו את הפרטים ונציג יחזור אליכם בהקדם.