ATOMO GLOBAL FLEXIBLE è un fondo globale, flessibile che investe nelle classi di investimento dei più importanti mercati mondiali senza nessun vincolo.

 

 

ATOMO GLOBAL FLEXIBLE is a global and flexible fund investing in the world’s most important markets without any benchmark, theme or macroeconomic area restraint. This allows the fund manager to select the markets with the highest growth potential only.
The result of ATOMO’s flexible management is a fund for all seasons, meaning that it is an actively managed fund oriented towards the opportunities arising in any economic situation.
A fund that can be included as the main component of a portfolio because it allows the investor to participate in the best investment opportunities of all investment classes.
A solid and long-lasting management philosophy which catches the opportunities of rising market phases, while becoming defensive during down phases. The combination of the above two actions means that we optimise the risk/return ratio, thus increasing the possibilities to reach positive results in any market situation.
The portfolio is monitored daily. The investment profile of the fund is also adjusted on a daily basis.
The composition of the stock portfolio belonging to the fund is made by monitoring the markets’ volatility, and by using futures and options on the main market indexes to optimise the performance. The asset review is not performed at any due date, but constantly, by closely following the daily markets worldwide.

Before investing, please read the Prospectus available in the Documents section. Past performance are not indicative of future results.

 

 

Atomo global Flexible

FLEXIBILITY WITHOUT BENCHMARK RESTRAINTS

DIVERSIFIED PORTFOLIO

SCRUPOLOUS CONTROL OF THE RISK OF THE PORTFOLIO WITH DAILY ADJUSTMENTS

MAXIMUM BENEFIT DURING THE POSITIVE PHASES OF THE MARKET AND RISK REDUCTION DURING NEGATIVE PHASES