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Vilhena US Multi Manager Fund
The Investment Objective of the Fund aims to achieve long-term growth by investing in equity and equity related securities throughout the world.
Vilhena US Multi Manager Fund

The Vilhena US Multi-Manager Fund is designed to give investors access to a selection of leading Fund managers and to a wide array of investments across the United States, which are actively managed to provide investors with strong potential to maximise the return on investment.

The Investment Objective of the Fund is to achieve long-term capital growth. The Fund will be invested predominantly, though not exclusively, in units of Collective Investment Schemes which invest in any sector of the United States economy.

The Fund may also invest directly in listed equity instruments in the United States.

Overview
Features & Fees
Benefits & Risks
Documents
Aimed towards long-term capital growth, the Vilhena US Multi-Manager Fund consists of units within collective investment schemes targeting various sectors in the US markets.

If investing through a fund is a fairly effortless way to diversify, multi-manager investing takes it one step further. This fund is designed to offer existent investors a fund which in turn invests in a range of other funds that with an exposure to the US stock markets, across multiple countries and a wide range of economic fields. 
Features:


Base Currency
US Dollar
Frequency of Dealing
Daily
Class of Shares Available US Dollar and Euro share classes
Manager
BOV Asset Management Limited
Custodian
Bank of Valletta plc
Minimum Initial Amount $2,500 or €2,500
Monthly Investment Plan

$50 or €50





Fees:

Initial Charge
Up to 3.5% of the amount invested
Exit Fee
Nil
Management Fee
1.29% of the Fund's Net Asset Value
Administrator Fee 0.21% of the Fund's Net Asset Value

By investing in the Vilhena US Multi-Manager Fund, you will benefit from:
  • Potential for Capital Growth
  • Accessing a wide range of Funds by different Fund Managers
  • Easy access to your money at short notice
Risks
The value of investments, and income from them, can go down as well as up and you may not get back the full amount you invested.
The Fund is also subject to the following risks: 
  • The Fund invests in other funds and its' performance is linked to the prospects and performance of the other funds in which it invests.
  • The Fund invests in other funds whose assets are mainly situated in the US and therefore the performance of the Fund is dependent upon the performance of the said funds and the US’s economy and market. 
  • The Fund may use financial derivatives instruments in an attempt to reduce the overall risk of its investments or reduce the costs of investing, although this may not be achieved.
A more detailed description of risk factors that apply to this Fund are set out in the Prospectus and the Fund's Supplement.
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