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-term investment horizon, who want to realize high odds.
Due to the low correlation to other asset classes, the Fenja FUND Multi Strategy represents a valuable contribution to the portfolio optimization, by being added to the classical form of investment.
Prospects
- Attractive Earnings-/Risk proportion
- Ideal addition to traditional stock and bond portfolios
- Differentiated, systematic and proven trading strategies for a profit-optimized trading
- More earnings - through the benefit from the opportunity both in rising and in falling markets
- More earnings - through an automated- and especially emotion-free trading
- Security - by limiting losses through an integrated risk management system
- Security - through broad diversification (spread) to more than 100 markets, in which trading can be realized
- Security - through broad diversification (spreading) in more than 15 trading systems which are used again in different time units
- Security - because futures markets are highly regulated and are among the most liquid markets worldwide
Risks
- High volatility in the development of the investments
- No capital guarantee
- Specific risks in the trading of derivatives
- Additional risk by the use of leveraged financial products
- Liquidity risk and high volatility of individual trading systems
- Limited trading opportunity (weekly price quotation)
- foreign currency risk arising from investments, denominated in foreign currency.
- Possible liquidity constraint by market disruptions