Equity Long/Short North America

Funds that invest at least 90% of total assets in north American (USA & Canada) liquid long and short positions in equities, equity indices and equity-equivalent securities. The aim is to achieve a low equity market beta which can fluctuate depending on the market assessment of the asset manager. A very high cash ratio should not be interpreted as an asset class, but as a residual through use as a margin.
Assets: 5,530.25 Mil. EUR
Number of funds: 21
Scope Fund Ratings: 1
Risk class: 1234567
Index: EURIBOR 3 Monate + 2%
Performance over Time in EUR