Eko Investment Capital SICAV
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Eko Investment Capital SICAV seeks long-term capital growth by investing its entire portfolio in a diverse mix of equities and fixed-income assets. It can directly or indirectly hold investments through financial investment institutions, including up to 30% in non-harmonized entities. The fixed-income investments include deposits and short-term instruments from EU or OECD-regulated banks, as well as liquid money market instruments. The fund has the flexibility to invest across various sectors, issuers, and even emerging markets, without specific limits on asset types or regions. Additionally, it may allocate more than 35% of its assets to securities issued or guaranteed by a U.S. state, allowing for comprehensive diversification within its investment strategy.