Description
Its portfolio is comprised of companies listed in secondary markets, regardless of sector or country, investing mainly in countries in the Euro zone and the United States, without excluding other OECD countries.
The fund's stock selection strategy is based on two types of investments: the search for companies capable of recurrently capitalizing their value in the long term and those companies, less conspicuous but with sustainable businesses, that occasionally trade at a large discount to their fair value.
The fund is managed by taking the performance of the MSCI Europe Net Total Return index to 60% and the performance of the MSCI USA Net Total Return EUR to 40%.
The Fund has a long-term investment approach in order to generate sustainable returns over time.