BBVA Bonos Valor Relativo FI
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BBVA Bonos Valor Relativo FI is an alternative investment fund designed to achieve positive returns regardless of market conditions by using a relative value strategy. Its portfolio includes a balanced mix of long and short positions in a wide range of fixed-income securities from various sectors and credit qualities, both public and private. The fund has flexible exposure to different currencies and can invest up to 20% in deposits and up to 10% in financial investment companies. Additionally, a substantial part of the investments may be in bonds issued or guaranteed by EU states and other financially stable entities, allowing for diverse and adaptable portfolio management.