Napoleon Capital Flagship fund
- The fund’s underlying strategy is a World Equity Absolute Return, designed to target a maximum volatility of 9%.
- It uses a combination of quantitative models across top equity indices with an exposure to the Eurozone, Japan, the UK and the US.
- The objective of the fund is to provide regular capital appreciation regardless of market conditions.
- Fund Advisor: Napoleon Capital
- Fund Manager: BNP Paribas AM
- Fund Administrator: BP2S
- Benchmark Administrator: Napoleon Index
- Minimum Investment: € 100,000
- Nature: Regulated French FIVG