Proprietary strategy targeting high-and-recurring income generation through equity volatility selling, implemented via derivatives instruments, and designed to follow a defensive and risk-efficient investment approach.
Discretionary portfolio management implemented on client accounts, enabling clients to retain full control while following a bespoke strategy.
Beauclerc Global Income Fund – Mutual Funds (UCITS) that replicate our proprietary investment strategies while also providing tailored family fund solutions.
Advanced derivatives trading through our proprietary dealing platform for yield enhancement and growth strategies, or complex hedging solutions.
BGIF follows the Beauclerc volatility-income strategy targeting a performance equivalent to the short-term risk-free rate + 3% p.a., net of fees, irrespectively to the currency.
Total Return Targets
| USD | SOFR | o/n + 3% p.a. |
| GBP | SONIA | o/n + 3% p.a. |
| EUR | ESTR | o/n + 3% p.a. |
| CHF | SARON | o/n + 3% p.a. |
BGIF is usually diversified with a bond allocation of max. 10%.
Accumulating and distributing share classes are available in USD, GBP, EUR and CHF.
Daily liquidity for subscriptions/redemption.