The Compartment follows a set of long/short investment strategies which are generally market neutral. The objective of the Compartment is to achieve long-term capital growth in absolute terms with a strong focus on capital preservation. Traditional long positions are coupled with (synthetic) long and short positions, which will be achieved through the use of financial derivative instruments (amongst others total return swaps, credit default swaps, futures and options). The Compartment will principally invest in bonds and other related debt securities (such as corporate and/or sovereign and/or financial bonds, covered bonds and convertible bonds), equities, equity related securities (such as but not limited to ordinary or preferred shares), deposits and money market instruments (for cash management only).

Rendimento annuo 1 anno 3 anni 5 anni Inizio 2024 2023 2022 2021 2020
Rendimento annuo: Fondo 1 anno: 6,98 3 anni: 0,25 5 anni: 2,08 Inizio: 1,70 2024: 3,40 2023: 5,69 2022: -6,29 2021: -2,31 2020: 7,28
Rendimento annuo: Categoria 1 anno: 5,33 3 anni: 2,56 5 anni: 1,66 Inizio: - 2024: 3,58 2023: 3,59 2022: -2,50 2021: 4,15 2020: -1,13
Rendimento annuo: Percentile 1 anno: 37,00 3 anni: 73,00 5 anni: 48,00 Inizio:- 2024: 40,00 2023: 22,00 2022: 73,00 2021: 94,00 2020: 12,00
Rischio Volatilità Sharpe Ratio Correlazione Beta Alfa Tracking error Info Ratio
Rischio: 3 anni 1 Volatilità: 2,94 3 Sharpe Ratio: -0,43 5 Correlazione: -9,62 Beta: -0,04 Alfa: -1,21 Tracking error: 6,96 Info Ratio: 0,13
Fonte: Morningstar. Dati in euros. Categoria: Multistrategy EUR. Data: 2024-04-17
Fonte: Morningstar. Dati in euros. Categoria: Multistrategy EUR. Data: 2024-04-17