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Global Opportunities

QUINT Global Opportunities
Innovative equity strategy for your portfolio

The fund's investment objective is to achieve the highest possible growth in value. The investment strategy is based on an active management process, with the focus on equities and bonds in the selection of assets.

„Look at market fluctuations as your friend rather than your enemy, profit from folly rather than participate in it“

  • Actively managed global investment concept with offensive orientation
  • Participation in future trends through the selection of disruptive technology stocks
  • Minimisation of drawdowns through flexible control of the equity ratio
Fund Data
Fund QUINT Global Opportunities
Fund initiator KJL Capital GmbH, Frankfurt am Main
Liability umbrella BN & Partners Capital AG, Frankfurt am Main
KVG HANSAINVEST Hanseatische Investment-GmbH, Hamburg
Custodian DONNER & REUSCHEL Aktiengesellschaft, Hamburg
Fund category Equity fund (UCITS)
Currency Euro (EUR)
WKN / ISIN A3CT6K / DE000A3CT6K3 (S) A3CT6J / DE000A3CT6J5 (R)
Distribution po licy Distributing
Management fee 0,15% p.a. 0,75% p.a.
Minimum investment EUR 500.000 -
Agio -
Performance fee Performance fee p.a. 15% of the positive performance above the hurdle rate of 3.5%, max. maximum rate 10% with high-water mark

Investment advice according to section 1 para. 1a no. 1a German Banking Act (Kreditwesengesetz – KWG) and investment brokerage according to section 1 para. 1a no. 1 German Banking Act (Kreditwesengesetz – KWG) will be provided solely for the account and under the liability of BN & Partners Capital AG, Steinstraße 33 in 50374 Erftstadt, according to section 2 para. 10 German Banking Act (Kreditwesengesetz – KWG). BN & Partners Capital AG possesses the required authorisation of Bundesanstalt für Finanzdienstleistungsaufsicht (BaFin) for the above mentioned financial services. The data is for informational purposes only.

The information on the investment fund published on this website does not constitute any counselling or advice or a recommendation to subscribe or an offer to buy or sell any securities or other financial products. The content provided serves solely for general information purposes. The sales prospectus, the current financial report and the current half-year report are the sole binding basis for the purchase of fund units. Sales documents on the fund are available, following publication, free of charge from the capital management company (Hanseatische Investment-GmbH, Kapstadtring 8, 22297 Hamburg, Tel. +49 40 300 57-0), the depositary of the fund (DONNER & REUSCHEL Aktiengesellschaft, Hamburg) and on the Internet at https://www.hansainvest.com. The information provided does not constitute any advice or recommendations. Historical data is no guarantee of future results, which cannot be predicted. All information provided reflects the current assessment of the author or authors and does not necessarily represent the opinion of the companies named in the presentation. All data are subject to change.
In the event of any discrepancy between the German-language version of this website and a version in any other language, the German-language version shall prevail.