Ethna Funds

Fund Company

Ethna Funds - http://ethnafunds.com/
 
ETHENEA Independent Investors is an independent investment company headquartered in Luxembourg. ETHENEA manages the Ethna Funds, three conservative  minimum-risk  investment funds with the following  investment funds with the following investment profiles: minimum-risk, balanced and profit-oriented.

The top priority of fund management is to preserve and increase the assets entrusted to them. The portfolio managers for the Ethna Funds, Luca Pesarini, Guido Barthels and Arnoldo Valsangiacomo, are investment experts with extensive knowledge of the financial sector.

Depending on their individual requirements and personal risk tolerance, investors can choose from three highly diversified funds:

  • Ethna-GLOBAL Defensiv
  • Ethna-AKTIV E
  • Ethna-GLOBAL Dynamisch

ETHENEA Independent Investors S.A. currently has approximately 40 employees at its three locations in Luxembourg, Switzerland (subsidiary) and Germany (branch office), and more than EUR 3 billion in assets under management. 

Company

Fund Name

ISIN

Currency

Inception Date

Rating

Risk

Profile

ETHENEA Independent Investors S.A.

Ethna Global Dynamisch A Dis

LU0455734433

EUR

10/11/2009

NULL

NULL

The principal objective of the Fund’s investment policy is to achieve a reasonable growth in value in euros giving consideration to stability of value, security of capital and liquidity of the Fund assets.  In order to achieve this investment objective, the Fund’s assets will be invested, in accordance with the principle of risk diversification, in open equity, bond or money-market funds and in exchange-traded futures (ETFs) and also directly in worldwide equities, fixed or variable interest bonds and money market instruments.

ETHENEA Independent Investors S.A.

Ethna Global Dynamisch T Cap

LU0455735596

EUR

10/11/2009

NULL

NULL

The principal objective of the Fund’s investment policy is to achieve a reasonable growth in value in euros giving consideration to stability of value, security of capital and liquidity of the Fund assets.  In order to achieve this investment objective, the Fund’s assets will be invested, in accordance with the principle of risk diversification, in open equity, bond or money-market funds and in exchange-traded futures (ETFs) and also directly in worldwide equities, fixed or variable interest bonds and money market instruments.