M&M Flexible
Société d’Investissement à Capital Variable, Luxembourg.
Investment Objective:
The Fund seeks to provide absolute returns through capital growth over the long term. The Fund can invest in shares, fixed income, monetary assets, currencies and commodities indices, in order to provide an optimum return as well as a reduction of the investment risk through diversification. There will be no fixed limits for the weighting of the portfolio asset allocation. Financial derivatives instruments will be used for hedging and investment purposes. The risk exposure in currencies may reach 100% of the assets. Investment focused in organized markets and liquid assets.

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