
Description The Fund’s investment objective is to provide stable long-term returns of 300 – 500 basis points above the Euro risk-free rate, in all market conditions, by investing through the Agent in financial instruments such as, international promissory notes, bills of exchange, irrevocable letters of credit, sub-participation agreements, derivative credit swap agreements, loan agreements, distressed debts, sovereign transitional economies bonds and other similar instruments. To view the detailed information, you need to SUBSCRIBE with us. |
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