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FalcInvest Global Markets Fund Class B (euro)




Capital growth with stability and attractive returns at a low risk



FalcInvest Global Markets Fund Class B (euro) was introduced in August 2004 and employs the FalcInvest Multi-Strategy. The aim of the fund is to realise a gradual and steady growth in capital under varying economic conditions in the mid and long-term. The fund assets are allocated across various investment styles with different investment strategies. With this, the fund has a broadly diversified, well-balanced portfolio that aims to avoid large interim price fluctuations.
Capital growth with stability and attractive returns at a low risk


Last published price
  March 2012 : EUR 29.5758

Features
  Currency : EUR (Euro)
  Risk category :
  ISIN Code : NL0000046522
  Other features :
  • Subscription from € 250000
  • Additions from € 10000 at a time
  • No fixed or minimum duration
  • Sales charges only in the first two years
  • Optimal diversification of investments
  • Also provides profit opportunities in a declining economy
  • Possibility to pledge fund holding
  • Subfund of FalcInvest Master Fund

Relevant parties (see prospectus for further information)
  Fund manager : FalcInvest Fund Management B.V.
  Custodian : ANT Custody B.V.
  Investment Manager : FalcInvest Fund Management B.V
  Auditor : KPMG Accountants N.V.
  Regulators : Autoriteit Financiële Markten
De Nederlandsche Bank N.V.

The value of the investment can fluctuate. Past performance is no guarantee for future results. For this product a prospectus is available with information about the product, the costs and the risks. Ask for this prospectus and read it before buying the product.