Pairstech Capital Management LLP

  • PHARUS MV7
Pharus MV7

PHARUS SICAV DYNAMIC ALLOCATION MV7

ISIN BLOOMBERG TICKER CATEGORY STRATEGY
LU0746320257
PQUINTA LX
UCITS
FLEXIBLE MULTISTRATEGY

SECTOR FEATURES

The Fund’s investment objective is to achieve long-term capital growth, limiting risk.

INVESTMENT POLICY

  • Wide variety of assets, mainly equities, governament and investment grade corporate bond, derivatives and currency instruments.

The information contained in this page does not constitute the offering documentation, which is the only valid for subscriptions. Therefore, please read the Prospectus available at the distributors.

 

FUND FEATURES

DOCUMENTATION

Launch Date: 2nd May 2012
Benchmark: 100% BAIF UCITS FOF Balanced
Currency: Euro
Annual Management Fee:
Class A (Retail) 2.10%;
Class B (Institutional) 1.20%.
Performance Fee: 20%
Category: Flexible
Custom Risk: Medium-low

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