Fund Description
Description of the sicav
The fund invests in a combination of ETFs and stocks, therefore mixing active and passive management.
ETFs that replicate the world's major stock exchanges are selected, with each geographic area being weighted according to its contribution to global GDP. For each market, investment will be made in the broadest and most representative ETF(s) in each economy, with the lowest costs, and the selection of companies will be made on the basis of fundamental criteria.
We use the MSCI World Euro Net Total Return index as a benchmark.
The Fund’s aim is to preserve and grow capital with the lowest possible risk, generating long-term, above-market returns.
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This fund has a subscription period until 31 March 2022, during which the net asset value remains unchanged at EUR 100. This subscription period may end prior to this date, when the fund reaches €10 million in assets.
The Beka Lux SICAV compartments cannot be contracted directly on our website.
The sub-funds of the SICAV are registered at CNMV and can be contracted with any of the authorized distributor’s entities.