Global Bonds Portfolio
This strategy involves investing in bond ETF funds to ensure broad and efficient exposure to the global debt market, including bonds denominated in euros, dollars, and yuan.
It is the most conservative option in the range, designed to mitigate volatility and preserve capital across different regions and maturities.
Characteristics
— Management of an asset portfolio focused exclusively on acquiring investment funds and/or bond ETFs from various companies and/or countries worldwide.
— Its primary objective is to provide investors with real long-term capital appreciation.
— The investment strategy is designed and structured for a medium- to long-term time horizon, with a recommended minimum investment period of 3 years.
Access conditions
— Minimum investment: €1,000.
— Subsequent subscriptions: €500.
If you would like to receive more information, please fill out the form.
Additional Information
This information does not replace the pre-contractual and contractual information required by law.

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