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GBMUSD BM

GBMUSD BM
3.11
+0.02
+0.79%
16/11/2017
5 años
  • Cierre anterior

    3.09

  • Activos netos

    Infinito

  • Rentabilidad

    0.00%

  • Comisión de suscripción

    0.00

  • Gastos

    1.00%

  • Categoría

    Foreign Currency Debt

  • Riesgo de Morningstar

    Bajo

  • Calificación de Morningstar ★★★
Perfil

Nombre del emisor

GBM Administradora de Activos SA de CV

Estilo de fondo

Abierto

Gestor de fondos

Fernando Castro Tapia

Estilo de inversión

-

The Fund will seek to gain a competitive return on an investment in dollars, so our performance benchmark will be an annual 2% less tax dollars. To achieve this performance assets will be invested in line with this goal, according to the analysis of relative value, ie, those issuers that their level of credit risk better terms than its peers, from different stations trying to find opportunities, and assuming a average level of credit and market risks. In order to achieve the aforementioned objective will select investments in debt securities, structured securities or asset-backed securities whose price offer attractive returns according to their credit quality based on relative value analysis above, provided that the maturation of strategy may be the medium term, ie between one and three years, not necessarily refer to the term of the instrument.

Información de compra

Compra inicial 1
Compra inicial: IRA NA
Compra inicial: AIP NA

Creación

08/12/2005

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