March Alternative Strategies
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Category "1" does not mean that the investment is risk-free
March Alternative Strategies aims to provide its investors with capital growth, mainly by investing in units of UCITS and/or UCIs offering different strategies and the philosophy of which is to achieve an absolute performance.
What is it?
March Alternative Strategies is a fund of funds that invests in alternative strategies with the objective of generating a stable return over the long term. The fund's target is to generate returns of Euribor +1.5% with a volatility of 3% and limiting falls to 3% (on a monthly basis).
To reach this goal, the fund invests in various strategies (Long/Short Equity, Relative Value, Global Macro, Event Driven), through specialised managers, with the aim of achieving high diversification between the different funds. Risk is monitored on a daily basis.
Why invest?
March Alternative Strategies is an ideal solution for conservative clients who wish to complement their fixed income investments. This fund aims to offer an attractive risk/return ratio while maintaining a low correlation with the traditional fixed income market.
Thanks to careful selection of underlying assets and robust portfolio construction, the fund is designed to protect against downturns in both equity and fixed income markets. Additionally, it seeks to capitalize on opportunities in equity markets while always maintaining excellent diversification among its managers.
Return/Risk
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Moderado | Importe (EUR) | ||||||
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Return during the selected period:
Last net asset value: a fecha
RETURN *
1 month | 3 months | 6 months | 1 year | 3 years | ||
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RISK *
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* Data at date:
Key figures
- Launch date:
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- Assets (€):
- Manager:
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