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To achieve a positive return in any type of market condition (absolute return strategy). Although the Sub-Fund typically invests most of its assets in money market instruments, its performance comes mainly from investments in Eurozone equity volatility derivatives. The prices of these derivatives vary depending on the anticipated volatility of Eurozone equity markets (volatility measures the dispersion of an asset’s returns around its average return).
Name | Title | Since | Until |
---|---|---|---|
Jérôme Gunther | - | 2018 | Now |
Gilbert Keskin | - | 2006 | Now |
Eric Hermitte | - | 2006 | 2018 |
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