| NASDAQ Exchange | US Country |
The provided company description outlines an investment fund that targets a very specific investment strategy under normal market conditions. This fund commits at least 80% of its net asset value to invest in a portfolio, or through other investment companies, in FLEX Options that are linked to an index. These FLEX Options are structured to replicate the returns of twelve 20% Buffer Strategies, which presumably aim to limit downside risk while participating in the upside to a certain extent. Notably, the fund is classified as non-diversified, meaning it may invest more of its assets in fewer issuers than a diversified fund.
The fund's investment approach is centered around two primary offerings: