QUANTIVE Absolute Return AK I
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QUANTIVE Absolute Return is managed by a team that carefully selects a diverse range of investments to achieve steady returns regardless of market conditions. The portfolio typically includes a mix of equities, bonds, derivatives, and alternative assets, strategically balanced to mitigate risks and capture opportunities across different asset classes. By reinvesting earnings, the fund aims to steadily increase the value of its shares, providing investors with a resilient investment option designed for long-term growth.
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QUANTIVE Absolute Return V
QUANTIVE Absolute Return V
QUANTIVE Absolute Return V