Bestinvest says
No information available.
The Company’s objective is to achieve long-term capital appreciation with diversification of risk seeking a consistent absolute rate of return. The Company will aim to achieve
performance with low volatility and low overall correlation to the major European equity market indices. This is sought by deploying the Company’s assets in a number of financial markets in Europe and by allocating its assets to one or more professionally selected investment vehicles which will employ a variety of investment techniques and strategies and be managed by portfolio managers.