transparency is worth more than buying this or that or selling

that's why we give our positions

60% invested 40% cash reserve ready for new risks and coverage of placed risks

39% directional short

61% relative value long / short

ability to double or even triple portfolios depending on performance. calling for new capital in the short term

much more in the medium to long term always depending on past performance over the long term

objective hedge fund regulated by EU market authorities

so far we are delighted with these shares on the square 😊

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