A diversified fund of Hedge Funds targeting low correlation to traditional financial markets
Key Information
Risk Indicator :
1234567
Investment universe
Hedge Funds
Performance objective
5% to 7% per annum
Volatility objective
Investment horizon
5 years
Liquidity
Quarterly with monthly NAV computation
Description
Legal Form: RAIF
A diversified portfolio of Hedge Funds with a multi-strategy approach targeting low correlation to traditional financial market
Minimum investment of the equivalent of 100.000 EUR in USD
Be careful, this product is reserved for well-informed investors, because of the nature of the instruments present in the portfolio, the liquidity and the valuation frequency of this investment support.
Midas Wealth Management has developed a range of UCITS funds managed according to a fundamental approach. We invest in equity and bond markets, mainly through individual lines. This is a true conviction-based management relying on a rigorous process of selection of financial instruments selection and which favors the valuation as well as the fundamentals of companies. In addition, we also offer the opportunity for our investors to invest in two specialised investment funds, that are registered under the RAIF format and dedicated to private debt and private equity.
MWM SICAV Bond Opportunities
A flexible bond management in order to seize opportunities offered on interest rate markets