Paradox Equity Fund A FI
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Paradox Equity Fund FI primarily allocates over 75% of its portfolio to international equities, focusing on established OECD markets such as the Eurozone, the United States, Japan, Switzerland, Australia, the United Kingdom, and Canada. It also permits up to 30% of investments in non-OECD and emerging markets without requiring a minimum company size. The remaining portfolio is invested in a diverse range of fixed income instruments, including both public and private debt, without restrictions on credit quality or liquidity. Additionally, the fund may concentrate its investments geographically or sectorally when appropriate and can include up to 10% in financial investments that align with its overall objectives.