MIMS – MULTI-ASSET GLOBAL OPPORTUNITIES FUND (REPORT MAY 2024)

MIMS – MULTI-ASSET GLOBAL OPPORTUNITIES FUND (REPORT MAY 2024)

The ultimate goal of this Fund is to achieve long-term growth whilst controlling volatility. To that end, this portfolio comprises a multitude of highly diversified securities with the possibility, in exceptional cases, to take short-term speculative positions. To ensure high diversification, the Fund is spread across geographies, industries, and asset classes, and is built through stock picking, based on fundamental analysis and macroeconomic views.

Last semester the fund achieved a positive performance (+1.91%), mainly driven by the equity allocation of the portfolio, thanks to the effective cherry-picking and positive momentum of mega-trends impacting equity valuations. This semester, considering the increased complexity of the macro scenario – such as the uncertainty on geopolitical conflicts, the diverging inflation paths in developed economies, and the structural changes in major economies – we hold our view for a conservative approach, yet articulating calculated views on tail risks and on industry-specific disruptions.

Check out the report to know more about our picks for the next semester!