Seven Long Cash Risk Parity 3%

This Long Only fund is based on a rigorous investment process founded on momentum analysis of financial assets. Allocation is based on Risk Parity methodologies, ensuring optimal risk management and control. The strategy targets volatility of 3% for a return of +4%, with dynamic asset allocation to optimize the risk/return ratio.

Enregistrer

Enregistrer

Enregistrer

Enregistrer

Enregistrer

Enregistrer

Enregistrer