Hedge Funds
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Normax Capital
S&P500 hedge fund
We are excited to offer our clients a newly created S&P500 hedge fund. Our hedge fund is designed to provide investors with exposure to the S&P500 index while also providing downside protection through the use of various hedging strategies.
Our S&P500 hedge fund is managed by a team of experienced investment professionals who have a deep understanding of the equity markets and are dedicated to delivering strong risk-adjusted returns to our investors.
The key features of our S&P500 hedge fund include:
Exposure to the S&P500 index
Our fund invests in a portfolio of stocks that closely replicate the S&P500 index. This provides investors with exposure to the largest and most liquid stocks in the US equity market.
Hedging strategies
Our fund uses a variety of hedging strategies to protect against downside risk. This includes options, futures, and other derivatives that provide downside protection while still allowing for upside participation.
Active management
Our investment team actively manages the fund to ensure that it is positioned to take advantage of changing market conditions. This includes adjusting the portfolio allocation and hedging strategies as needed to optimize risk-adjusted returns.
Diversification
Our fund is well-diversified across sectors and stocks, which helps to reduce the impact of individual stock movements on the overall portfolio.
We believe that our S&P500 hedge fund offers investors an attractive opportunity to gain exposure to the US equity market while also providing downside protection through the use of hedging strategies. Our experienced investment team is dedicated to delivering strong risk-adjusted returns to our investors.
Please contact us to learn more about our S&P500 hedge fund and how it can help you achieve your investment goals.
Normax Capital
S&P500 hedge fund
We are pleased to offer our clients a newly created CAC40 hedge fund. Our fund is designed to provide investors with exposure to the French equity market through the CAC40 index, while also offering downside protection through the use of hedging strategies.
Our CAC40 hedge fund is managed by a team of experienced investment professionals who have a deep understanding of the French equity market and are dedicated to delivering strong risk-adjusted returns to our investors.
The key features of our CAC40 hedge fund include:
Exposure to the CAC40 index
Our fund invests in a portfolio of stocks that replicate the CAC40 index. This provides investors with exposure to the largest and most liquid stocks in the French equity market.
Hedging strategies
Our fund uses a variety of hedging strategies to protect against downside risk. This includes options, futures, and other derivatives that provide downside protection while still allowing for upside participation.
Active management
Our investment team actively manages the fund to ensure that it is positioned to take advantage of changing market conditions. This includes adjusting the portfolio allocation and hedging strategies as needed to optimize risk-adjusted returns.
Diversification
Our fund is well-diversified across sectors and stocks, which helps to reduce the impact of individual stock movements on the overall portfolio.
We believe that our CAC40 hedge fund offers investors an attractive opportunity to gain exposure to the French equity market while also providing downside protection through the use of hedging strategies. Our experienced investment team is dedicated to delivering strong risk-adjusted returns to our investors.
Please contact us to learn more about our CAC40 hedge fund and how it can help you achieve your investment goals.
Normax Capital
IBEX35 Hedge Fund
We are excited to announce our newly created IBEX 35 hedge fund, which is now available for investment from a Swedish trust. Our fund is designed to provide investors with exposure to the Spanish equity market through the IBEX 35 index, while also offering tax advantages and liquidity options.
Our IBEX 35 hedge fund is managed by a team of experienced investment professionals who have a deep understanding of the Spanish equity market and are dedicated to delivering strong risk-adjusted returns to our investors.
The key features of our IBEX 35 hedge fund include:
Exposure to the IBEX 35 index
Our fund invests in a portfolio of stocks that replicate the IBEX 35 index. This provides investors with exposure to the largest and most liquid stocks in the Spanish equity market.
Tax advantages
As a Swedish trust, our fund offers tax advantages to our investors. This includes reduced tax rates on capital gains and dividends, as well as the ability to defer taxes on gains until the investment is sold.
Liquidity options
Our fund offers liquidity options to our investors, including the ability to redeem shares on a quarterly basis. This provides our investors with flexibility to manage their investment portfolios.
Active management
Our investment team actively manages the fund to ensure that it is positioned to take advantage of changing market conditions. This includes adjusting the portfolio allocation and hedging strategies as needed to optimize risk-adjusted returns.
Diversification
Our fund is well-diversified across sectors and stocks, which helps to reduce the impact of individual stock movements on the overall portfolio.
We believe that our IBEX 35 hedge fund offers investors an attractive opportunity to gain exposure to the Spanish equity market while also providing tax advantages and liquidity options. Our experienced investment team is dedicated to delivering strong risk-adjusted returns to our investors.
Please contact us to learn more about our IBEX 35 hedge fund and how it can help you achieve your investment goals.
Normax Capital
DAX Hedge Fund
We are excited to introduce our newly created DAX hedge fund, which is now available for investment from a Swedish trust. Our fund is designed to provide investors with exposure to the German equity market through the DAX index, while also offering tax advantages and liquidity options.
Our DAX hedge fund is managed by a team of experienced investment professionals who have a deep understanding of the German equity market and are dedicated to delivering strong risk-adjusted returns to our investors.
The key features of our DAX hedge fund include:
Exposure to the DAX index:
Our fund invests in a portfolio of stocks that replicate the DAX index. This provides investors with exposure to the largest and most liquid stocks in the German equity market.
Tax advantages
As a Swedish trust, our fund offers tax advantages to our investors. This includes reduced tax rates on capital gains and dividends, as well as the ability to defer taxes on gains until the investment is sold.
Liquidity options
Our fund offers liquidity options to our investors, including the ability to redeem shares on a quarterly basis. This provides our investors with flexibility to manage their investment portfolios.
Active management
Our investment team actively manages the fund to ensure that it is positioned to take advantage of changing market conditions. This includes adjusting the portfolio allocation and hedging strategies as needed to optimize risk-adjusted returns.
Diversification
Our fund is well-diversified across sectors and stocks, which helps to reduce the impact of individual stock movements on the overall portfolio.
We believe that our DAX hedge fund offers investors an attractive opportunity to gain exposure to the German equity market while also providing tax advantages and liquidity options. Our experienced investment team is dedicated to delivering strong risk-adjusted returns to our investors.
Please contact us to learn more about our DAX hedge fund and how it can help you achieve your investment goals.
Normax Capital
NASDAQ Hedge Fund
We are excited to present our newly created NASDAQ hedge fund, which is now available for investment from a Swedish trust. Our fund is designed to provide investors with exposure to the US technology sector through the NASDAQ index, while also offering tax advantages and liquidity options.
Our NASDAQ hedge fund is managed by a team of experienced investment professionals who have a deep understanding of the US technology sector and are dedicated to delivering strong risk-adjusted returns to our investors.
The key features of our NASDAQ hedge fund include:
Exposure to the NASDAQ index
Our fund invests in a portfolio of stocks that replicate the NASDAQ index. This provides investors with exposure to the largest and most innovative technology companies in the US equity market.
Tax advantages
Our fund offers tax advantages to our investors. This includes reduced tax rates on capital gains and dividends, as well as the ability to defer taxes on gains until the investment is sold.
Liquidity options
Our fund offers liquidity options to our investors, including the ability to redeem shares on a quarterly basis. This provides our investors with flexibility to manage their investment portfolios.
Active management
Our investment team actively manages the fund to ensure that it is positioned to take advantage of changing market conditions. This includes adjusting the portfolio allocation and hedging strategies as needed to optimize risk-adjusted returns.
Diversification
Our fund is well-diversified across sectors and stocks, which helps to reduce the impact of individual stock movements on the overall portfolio.
We believe that our NASDAQ hedge fund offers investors an attractive opportunity to gain exposure to the US technology sector while also providing tax advantages and liquidity options. Our experienced investment team is dedicated to delivering strong risk-adjusted returns to our investors.
Please contact us to learn more about our NASDAQ hedge fund and how it can help you achieve your investment goals.