Features
| Launch Date | June 2024 | 
| Manager | CMF Asset Management S.A.U. Sociedad Gerente de Fondos Comunes de Inversión | 
| Custody Agent | Banco CMF S.A. | 
| Auditor | EY – Pistrelli, Henry Martin y Asoc. | 
| Rating | Pendiente | 
| Fund currency | Pesos | 
| Minimum investment | $ 1.000 | 
| Redemption | 24 hours | 
Share Value – 25/03/25
| Class A | 1.362390 | 
| Class B | 1.365050 | 
Objetive
Fixed income fund.
Strategy
To this end, it is mainly composed of Capitalizable Letters (Lecaps), as well as deferred payment checks and short-term promissory notes. 
Class A
Management Fee: 2,90%
Custody Fee: 0,10%
Class B
Management Fee: 2,65%
Custody Fee: 0,10%
