The products offered in the Symphonia Multi Sicav line provide clients with dynamic, diversified investment, drawing on cutting-edge methods and aimed at achieving maximum efficiency. The Multi Sicav formula is founded on the concept of seeking the greatest possible specialisation in given geographical areas or an individual risk profile through the use of external managers whose funds are carefully identified and selected through a complete comparative analysis of all the main risk/return parameters.
The sub-funds of Symphonia MULTI SICAV, managed by Symphonia SGR, distributed by risk profile and investment holding period:
HIGH RISK |
||||
MEDIUM-HIGH RISK |
||||
MEDIUM RISK |
||||
LOW RISK |
||||
Short Term 1/2 Years |
Medium Term 3/5 Years |
Medium-Long Term 3/7 Years |
Long Term 5/10 Years |
|
This is a translation provided only for your convenience. Only the Italian text has legal value.