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The aim of the Fund is to seek, over the recommended investment horizon, the annualised performance indicated below by implementing a fully discretionary and unconstrained approach in terms of regional and business sector exposure, based on the market expectations of the fund manager. The objective is to achieve an annualised performance above the capitalised EURO STR (12-month rolling average) + 105 basis points for A units, above the capitalised EURO STR (12-month rolling average) + 165 basis points for P units, above the capitalised EURO STR (12-month rolling average) + 190 basis points for I units, after deducting all fees charged to the Fund (excluding the performance fee). Management does not have any investment benchmark index. However, the performance of each class of units may be compared ex-post with the specific objective for each class of units indicated above.
Name | Title | Since | Until |
---|---|---|---|
Giuseppe Perrone | - | 2014 | 2022 |
Marco Sormani | - | 2014 | 2022 |
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