
- Performance
Eonia+ 200 basis points - Volatility
3-6% - Portfolio Composition
Multiactive (stocks, bonds, forex, derivatives, funds, ETFs) - Investment style
Global, Multistrategy, Stable. Prevail hedged strategies and volatility control. - Sensibility to market
Moderate. Maximizes stability. - Risk profile
Moderate

- Performance
Eonia+ 400 basis points - Volatility
5-10% - Portfolio Composition
Multiactive (stocks, bonds, forex, derivatives, funds, ETFs) - Investment style
Global, Multistrategy, Flexible. The exposure to equity unhedged varies from 0 to 60%. - Sensibility to market
Variable. Maximizes adaptation to economic cycle. - Risk profile
Tolerant

- Performance
Eonia+ 600 basis points - Volatility
8-14% - Portfolio Composition
Multiactive (stocks, bonds, forex, derivatives, funds, ETFs) - Investment style
Global, Multistrategy, Growth. Holds a high percentage in equity unhedged (60%-100%). - Sensibility to market
High. Maximizes long term growth. - Perfil de riesgo
Very Tolerant

- Performance
Eonia+ 200 basis points - Volatility
3-6% - Portfolio Composition
Multiactive (stocks, bonds, forex, derivatives, funds, ETFs) - Investment style
Global, Multistrategy, Stable. Prevail hedged strategies and volatility control. - Sensibility to market
Moderate. Maximizes stability. - Risk profile
Moderate

- Performance
Eonia+ 400 basis points - Volatility
5-10% - Portfolio Composition
Multiactive (stocks, bonds, forex, derivatives, funds, ETFs) - Investment style
Global, Multistrategy, Flexible. The exposure to equity unhedged varies from 0 to 60%. - Sensibility to market
Variable. Maximizes adaptation to economic cycle. - Risk profile
Tolerant

- Performance
Eonia+ 600 basis points - Volatility
8-14% - Portfolio Composition
Multiactive (stocks, bonds, forex, derivatives, funds, ETFs) - Investment style
Global, Multistrategy, Growth. Holds a high percentage in equity unhedged (60%-100%). - Sensibility to market
High. Maximizes long term growth. - Perfil de riesgo
Very Tolerant