CYC Acciones Globales
Invest your capital in a well-diversified portfolio of global equities
CYC Acciones Globales is designed to provide investors with a well diversified global portfolio focused on equity. The fund diversifies its portfolio both geographically and across sectors, with a weighting in both developed and emerging markets. Addionally, it may incorporate hedging strategies with options or gold and US Treasury Bills for liquidity and risk management.
Type of fund
Variable Income
Currency
Dollar
Redemption Period
Weekly
Horizon
Long term
Investment Profile
Agressive
Minimum investment
1000 VN
Benchmark
MSCI ACWI Index
Fund Information
Composition Structured Note
Program ETPCAP2 Series 429
Inception date 08/20/2021
Assets: 10.624.383,00
NAV per 100 shares 139,06
TER 1.25% per year
Subsc. / redemp. cost No cost
Listing Vienna Stock Exchange
ISIN XS2223800652
FIGI Bloomberg BBG00X6KM7B4
Caja de Valores code 81692
- 01.11.24 Factsheet CYC Acciones Globales
- 04.10.24 Factsheet CYC Acciones Globales
- 30.08.24 Factsheet CYC Acciones Globales
- 06.08.24 Factsheet CYC Acciones Globales
- 10.07.24 Factsheet CYC Acciones Globales
- 14.06.24 Factsheet CYC Acciones Globales
- 06.05.24 Factsheet CYC Acciones Globales
- 08.04.24 Factsheet CYC Acciones Globales
- 05.03.24 Factsheet CYC Acciones Globales
- 04.01.24 Factsheet CYC Acciones Globales
- 26.01.24 Presentación CYC Acciones Globales
- 28.07.23 Presentación CYC Acciones Globales
Disclaimer: Investments in the stock market involve inherent risks and do not guarantee any returns. This is not a public offer to invest in a specific product..