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Our range of quality funds is distributed across three strategies created and designed for any investor seeking to find a quality product that provides diversification and flexibility to their portfolio.

Our objective is to offer a differential, innovative and quality service based on active investment management.

Our fund range includes tailor-made management mandates adapted to meet our clients' needs. Specialised strategies across asset classes and sectors.

We offer you exclusive content in all formats so that you are always up to date, whether you are just starting out in the world of investment or you already have experience in this field.

Global Best Selection

Global Best Selection

  • YTD Profitability

    1.61%

  • Volatility Start

    5.28%

  • 1st position in the portfolio

    Kering 3.88%

  • 2nd position in the portfolio

    Porsche Auto Holding Se 3.32%

  • 3rd position in the portfolio

    Banco Santander Sa 3.19%

    Class “A” data as of 08/07/2025. Returns are net of fees and expenses. Past performance is no guarantee of future results.

    Up to 0–100% of the assets may be invested in financial UCIs (eligible assets), whether harmonized or not (with a maximum of 30% in non-harmonized UCIs), and whether managed by the Management Company’s group or not. Up to 10% of the assets may be invested in alternative investment UCIs. Investments may be made directly or indirectly through UCIs, with 0–100% of total exposure allocated to equities or public/private fixed income (including deposits and money market instruments, whether listed or not, provided they are liquid). The fund may also have exposure to financial instruments whose returns are linked to equity dividends or stock market indices in OECD markets, to the volatility and variance of equity indices in OECD countries, and to commodities (exclusively through financial indices).

    Returns

    Past performance is not indicative of future performance. Source: Anta AM.

    Net Asset Value

    Fund Data

    ISIN

    ES0142233032

    Morningstar Category

    Flexibles EUR

    Minimum Investment

    1 share

    Liquidity

    Daily

    Custodian

    Inversis

    Equipo gestor

    Federico Battaner
    Chief Investment
    Officer
    Victor Morales
    Fund
    Manager
    Javier Gil
    Fund
    Manager

    Documentación