Características
| Fecha de lanzamiento | March 2024 |
| Agente de administración | CMF Asset Management S.A.U. Sociedad Gerente de Fondos Comunes de Inversión |
| Agente de custodia | Banco CMF S.A. |
| Auditor | EY – Pistrelli, Henry Martin y Asoc. |
| Calificación | Pending |
| Moneda del fondo | Pesos |
| Inversión mínima | $ 1.000 |
| Plazo de rescate | 24 hours |
Share Value – 17/09/24
| Clase A | 1.000000 |
| Clase B | 1.000000 |
Objective
Fund focused on achieving long-term real returns.
Strategy
To achieve this objective, the fund is primarily invested in medium- and long-duration CER-linked assets, seeking to maximize real returns over time.
Fee
Class A
Management Company Fee:2,90%
Custody Fee: 0,10%
Class B
Management Company Fee: 2,65%
Custody Fee: 0,10%
