| XFRA Exchange | Germany Country |
The Sub-Fund aims to offer investors a unique investment strategy by seeking asymmetric exposure to the eurozone equity markets. This investment approach is designed to maximize returns from the eurozone's positive equity market trends while minimizing losses during negative trends. The Sub-Fund's objective is to capture two-thirds of the upward movements of the eurozone equity markets and limit its participation to one-third of the downward movements. This strategy is intended to provide investors with a more favorable risk-reward ratio, capitalizing on the growth potential of eurozone equities while offering a degree of protection against market downturns.
The Sub-Fund provides a singular financial product focused on the eurozone equity markets with the following characteristics: