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Contacts:

Phone: +372 6644 205
Fax: +372 6644 201
E-mail: info@avaron.com

Address:
Foorum House
Narva Road 5/58
6th floor
Tallinn 10117, Estonia

How to find us?

Avaron Flexible Strategies

The fund is set up for high net worth investors and foundations that wish to assign asset allocation decision making to Avaron. The fund has a global mandate with Central and Eastern European bias. The aim of the fund is to provide better returns compared to risk free investments but at the same time to preserve the capital through market cycles. 

The fund is a vehicle for families to run their liquid assets through market cycles. The fund can invest in all liquid asset classes, including cash, bonds and fixed income, equities, funds and derivatives. As allocation to different asset classes varies based on Avaron investment managers' views on valuation levels and available investment opportunities, the risk level and risk profile of the fund are changing over time. However, while making investments, we keep in mind the absolute return target.

The fund is a portfolio management service in a fund format. We do not charge any subscription fees or  redemption fees from investors. Entry and exit at NAV is available for all ticket size investors. The fund is also fully transparent for all investors, disclosing its full portfolio to all investors as at the end of each month.

The fund is closed-end and non UCITS. Investors can commit capital to the fund on daily basis and exit with 3-6 month notice.

Prices and Performance of Class B Unit

Unit NAV11.5912
Subscription price11.5912
Redemption price 11.5912
Fund size, mio 3.22
1 day0.03%
YTD6.95%
1 month0.31%
3 months2.32%
6 months2.26%
1 year10.04%
Since Launch15.91%
Data in EUR, last updated: 03.09.2010