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The investment policy of the FUND is to enable the investment in risky markets with varying levels of exposure above the equity, including through the use of instruments traded in derivatives and futures, both for the purpose of hedging the portfolio (hedge), and to maximize the gains of the FUND, operations which are subject to rapid changes in prices and expressive. This fact may result in substantial loss to the shareholder or even higher losses on invested capital (situation in which the FUND's equity becomes negative and the shareholder must make additional contributions of resources).
Name | Title | Since | Until |
---|---|---|---|
Not Disclosed | - | 2011 | Now |
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