Alturis Volatility is an actively managed fund designed to achieve positive annual returns by primarily investing in short-term, investment-grade Euro-denominated bonds and a variety of money market instruments, prioritizing safety. To enhance returns, the fund also engages in trading derivatives, particularly options and futures based on US equity indices. Additionally, Alturis Volatility incorporates ecological and social factors into its investment strategy, ensuring that its portfolio aligns with sustainable and responsible investment principles.