Fenja FUND Multi Strategy

Fenja FUND Multi Strategy

 

current performance

Performance
2010:    +27,35 %
2011:    +8,68 %
2012:    +3,68 %

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Launch of the "Multi Strategy Fund Fenja" was at 01 October 2010 with a NAV of 100. The performance from January 2007 to 30 September 2010 was achieved with the underlying trading systems of the "Multi Strategy Fund Fenja" on real accounts and is subject to adjustment.

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Trading systems, as basically the "Fenja FUND Multi Strategy", are used successfully in the stock markets for over 20 years.  Buy and sell decisions are made independently by the system. 

Systematic approaches vs. Traditional stock investments

Systematic computer-automated futures trading systems have a stable development since 1992. Within the system, different strategies are used to search for the theories of portfolio optimization (by Harry M. Markowitz) to minimize the overall risk while increasing overall revenue. Thus, at lower risk more returns could be achieved than with stock investments.  

 
  • Fund Data

    ISIN VCP391381057 Swiss security number (Valor)              11627250 Currency EUR Issue da [… more]

  • Prospects & Risks

    The Fenja FUND Multi Strategy enables you to participate in different markets with diversified strategies. This investment is suitable for risk-taking investors with medium-to long [… more]

  • Downloads

    You find here the fund's prospectus, fact sheet and correlation analysis in German and English to download.  For more information, as well as application forms, visit www.caiac.vc [… more]

 
 
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Haftungsausschluss

Haftungsausschluss
Fenja FUND Multi Strategy