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To increase the value of your investment over time and to outperform the short-term zero-coupon debt market in euro by 2.00% per year over any given 24-month period (as measured by the benchmark). In actively managing the fund, the investment manager uses macroeconomic and market analysis to dynamically adjust the portfolio’s asset mix. The investment manager seeks additional performance through various strategies such as long/ short, relative value and yield curve positioning (top-down and absolute return approach). The fund is designed without reference to the benchmark, therefore the similarity of its performance to that of the benchmark may vary.
Name | Title | Since | Until |
---|---|---|---|
Roberto Bianchi | - | 2011 | Now |
Paolo Dallera | - | 2006 | 2011 |
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