Welcome to our exclusive hedge fund,
where your investments are tailored to yield substantial monthly returns.
Our Vision
At Demetra Fund, we envision a dynamic financial landscape invigorated by our expertise and commitment. Drawing from our extensive experience in the financial sector, we aspire to be the catalyst for revitalizing the financial market.
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Our team of experienced professionals is dedicated to managing your investments with the utmost care and expertise. We leverage cutting-edge strategies and market insights to maximize your returns and minimize risks.
Explore our diverse range of investment classes, each designed to yield substantial monthly returns
Facts & Figures
Committed to delivering exceptional performance through our Global Macro strategy, we focus on macroeconomic trends and leveraging our expertise in equity markets, currencies, and commodities.
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We aim to provide our investors with superior risk-adjusted returns; our disciplined approach to risk management, combined with advanced technology and rigorous research, ensures that we navigate the complexities of global financial markets effectively.
Equities (40%)
Fixed income (20%)
Currencies (15%)
Commodities (10%)
Alternative investments (10%)
Cash and cash equivalents (5%)
Demetra Hedge Fund GP
Euro
01.06.2024
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Distribution
Monthly
Luxembourg
Trend Following
City Bank Europe PLC
30 Days
Issuer
Currency
Issue Date
Nav Date
Nav
Use of dividents
Distribution
Domicile
Metodology
Deposit Bank
Redemption Period
As an hedge fund, allocating capital across asset classes in the financial markets is a strategic decision that balances return potential with risk.
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We regularly review and adjust these allocations based on changing market conditions, new economic data and performance evaluations. Tactical adjustments may be made to take advantage of short-term opportunities.
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This structured yet flexible approach aims to optimize returns while managing risk, adhering to the hedge fund's overall investment strategy and objectives.