FONRADAR INTERNACIONAL,FI

Investment policy
The management benchmarks the performance of the annually compounded Euribor rate plus 300 basis points. The Fund has set a maximum risk level based on an annualized volatility of 11%. The average risk level of the fund, under normal market conditions, is 6% in terms of annualized volatility. The Fund will invest in domestic and international securities issued by public or private entities from any country, denominated in euros or other currencies, traded on regular official markets that provide investor protection and have operational rules, transparency, access, and admission criteria similar to those of the Spanish official markets.
Category
Absolute Return
Risk Profile
4
Managing Company
GVC Gaesco Gestión, SGIIC, SA
Custodian
Caceis Bank Spain ,S.A
Launch Date
21/05/1997
Net Asset Value
14,1876 (17/07/2024)
Benchmark Index
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Currency
EUR
ISIN
ES0139957031
Bloomberg
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Liquidity
Min. Investment
Other available types

*Total return for calendar year (from January 1st to December 31st).

Legal notice: A complete report of each Investment Fund is available on the website with information concerning, among others, historical returns obtained prior to a substantial change in the investment policy of the IIC, series of annualized historical returns, detail of the risks associated with the investment in IIC, etc. Investment funds involve certain risks (market, credit, liquidity, currency, interest rate, etc.), detailed all of them in the Prospectus and in the Key Investor Information (KII) document. The nature and scope of the risks will depend on the type and particular features of the fund, the currency, and the assets in which the equity is invested. Consequently, the choice among different types of funds should be made considering the return expectations and investment time horizon as well as the willingness and ability to take risks of the investor.

The information contained on the website is for information purposes only and does not constitute an offer of products and services, nor a recommendation or offer to buy or sell securities or any other investment product, nor a contractual component. Nor does it imply legal, fiscal, or other advice and its content should not serve the user to make decisions or make investments. Investment funds can be high-risk products, not suitable for all clients. Therefore, they do not intend to persuade the user to inappropriate operations by making services or access available to operations and markets that do not match to the user’s risk profile. Past performance is no guarantee of future results. Taxation of yields obtained by unitholders shall depend on the tax legislation applicable to their personal situation and may vary in the future.