AQA SURE FUND
An Investment Fund Managed by AQA Capital
Let Us Do This For You
AQA SURE FUND is a regulated investment fund. It is licensed as a UCITS and managed by AQA Capital, a fund manager based in Malta. We specialise in trading Euros against US Dollars. The AQA SURE FUND distinguishes itself through an actively managed approach. This means it is uncorrelated to the fate of the global economy and to other markets in general, therefore offering an attractive natural diversification for eligible investors. Operating with a highly experienced, dedicated team located in Malta and backed by a strong regulatory framework, the AQA SURE FUND also stands out as an enticing option for those who do not have the time, structure, knowledge or patience to squeeze investment gains by trying to navigate the markets themselves.
All investors purchase identical units in the UCITS fund (one single share class). The AQA SURE FUND, as other investment funds, is subject to losses and returns cannot be guaranteed.
The AQA SURE FUND targets absolute returns. This means that it is not related to, nor makes reference to any specific benchmark such as a market index or any other indicator.
Target annual return of 30%
Based on historical annualised returns of a similar trading strategy, returns are expected to range between 20% and 30% per annum. Investing in financial markets involves risk, and past performance is not indicative of future results. The value of investments can fluctuate and may result in losses.
Daily liquidity
Investors can withdraw funds at any moment. There is no minimum investment period, no lockup, no exit or penalty fees. Redemptions are usually paid within 3 business days from request.
Backed by experience
Administered and managed by two well established investment institutions in Malta.
Diversification
The Fund is uncorrelated with other assets. It does not matter whether a crisis hits, markets collapse or economies thrive. The returns are generated by an active trading strategy which does not depend on the fate of global markets. It is designed to work in all scenarios, making it an excellent hedge in investment portfolios.