SUB-FUNDS
Bonds Value
Global, flexible, dynamic bonds fund.
BONDS VALUE
Investment strategies
Portfolio composition:
RETURN SEEKING
High-conviction positions with high upside potential or with a high income stream.
CORE
Positions with lower potential but with a stable income and a lower risk profile.
DEFENSIVE
Positions with defensive characteristics that can sustain performance in the event of a risk-off scenario.
FOREX
Buffer to keep the possibility of investing open in case of opportunity
Investment in the SICAV’s sub-funds involves risks. Full information on risks is available in the Offering Prospectus, chapter 5 “Special Considerations on Risks” (Prospectus June 2024 – Base Investments SICAV)
Four Pillars – In brief
Global Value Approach
Selection of stocks with potential for appreciation based on a value approach with continuous monitoring of the risk/return ratio. The selection takes place within a broad and exhaustive investable universe.
Flexible Duration
The option of long/short duration potentially enables you to create value in all market conditions, thereby reducing the correlation to interest rate movements.
Relative Value
Spreads between markets and along yield curves (steepening or flattening) with macro and economic policy analysis.
Operations on Currencies
Carried out marginally if not in the presence of clear trends and strong convictions.
Our professionalism, balance and dedication are the key to achieving successful results in your investments