Managed Profit Plus aims to generate stable income by actively managing a diverse portfolio that includes up to 70% in stocks and corporate bonds, up to 100% in various debt securities, and up to 25% in high-yield and emerging market bonds. Additionally, the fund invests up to 10% in other funds, uses derivatives primarily for risk management, and maintains some liquidity through money market instruments. This balanced approach helps ensure steady returns while managing risk effectively.
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Managed Profit Plus T
Managed Profit Plus T
Managed Profit Plus T
Valor: 3436494