| XFRA Exchange | Germany Country |
The Sub-Fund operates with a focus on achieving both income and capital growth over an extended period, specifically designed to surpass inflation rates. Its strategy is rooted in absolute return investments, aiming to secure a stable and robust financial performance regardless of market conditions. By setting a target of attaining annual returns of 3% over the 3 Month USD LIBOR, the Sub-Fund aligns its operations toward generating sustainable, long-term financial gains for its investors. This strategy underscores its commitment to delivering value that not only meets but exceeds the dynamic expectations of its investor base, by meticulously employing tactical asset allocation and investment selection geared towards capital preservation and growth.
This product is the cornerstone of the Sub-Fund’s operations, designed to generate positive returns regardless of the financial markets' direction. Through a disciplined approach that combines strategic asset allocation, careful investment selection, and risk management, the Sub-Fund seeks to achieve its objective of 3% annual returns over 3 Month USD LIBOR, thus ensuring the protection and growth of capital over the long term.