The fund is market neutral and strives for positive absolute returns. The fund invests directly and indirectly in European shares and fixed income instruments. The fund is managed using a systematic data-driven process, and stocks are scored and ranked daily. A relatively even distribution of long and short investments results in a net market exposure close to zero. The fund may invest in transferable securities, money market instruments, derivative instruments and on accounts with credit institutions.
You can find complete information about Finserve's funds in the funds' Fact Sheets and Information Brochures. On the same page, you will also find other documents including full and half-year reports. The material on these pages is intended as general product information only. It should not be seen as investment advice or investment recommendations, and should not be used as a basis for investment decisions. You should always read the fund's Fact Sheet and Information Brochure/Prospectus before you start saving in a fund. We cannot guarantee that the information is complete and it is subject to change without prior notice. The published share value (NAV rate) is based on the most current data available.