Main Sustainable Growth

Sustainable Growth

High Volatile Assets and Cryptocurrencies
The most rapidly growing sectors in the Technology and IT industry. Portfolio management team consists of highly skilled experts with multi-year experience and exceptional understanding of the industry. We always know the current and upcoming market trends, so your assets are best allocated between various asset classes for sustainable growth. Portfolio managers invest in companies which benefit from the structural growth trends within the production side of the economy, for example energy transition, artificial intelligence, FinTec, live streaming, robotics, cloud technologies, gaming, biometrics and cybersecurity. Companies will primarily be selected on their exposure to the selected trends but will then be subjected to a thorough analysis of the competitive positioning, strength of management team and historical record of sales, earnings and margins. eInvestment holds a concentrated portfolio of equities for which the fund manager expects at least above-average performance in the medium and long term perspective.
As at 30 Apr 2020
Investment Amount Performance Fee Performance fee is charged from the amount of positive return on your investment generated by our portfolio managgers. Subscription fee Subscription fee is chared for subscription to shares of any share class. eInvestment subscription fee is 0%. Management fee Management fee is charged for managing investor’s funds without regard to returns. eInvestment management fee is 0%. Ongoing feesRedemption feeShare class
1 000 - 4 99925%0%2.99%A
5 000 - 24 99922.5%C
25 000+17.5%R
Investment Amount1 000 - 4 999
Performance Fee Performance fee is charged from the amount of positive return on your investment generated by our portfolio managgers. 25%
Subscription fee Subscription fee is chared for subscription to shares of any share class. eInvestment subscription fee is 0%. 0%
Management fee Management fee is charged for managing investor’s funds without regard to returns. eInvestment management fee is 0%.
Ongoing fees
Redemption fee2.99%
Share classA
Investment Amount5 000 - 24 999
Performance Fee Performance fee is charged from the amount of positive return on your investment generated by our portfolio managgers. 22.5%
Subscription fee Subscription fee is chared for subscription to shares of any share class. eInvestment subscription fee is 0%. 0%
Management fee Management fee is charged for managing investor’s funds without regard to returns. eInvestment management fee is 0%.
Ongoing fees
Redemption fee2.99%
Share classC
Investment Amount25 000+
Performance Fee Performance fee is charged from the amount of positive return on your investment generated by our portfolio managgers. 17.5%
Subscription fee Subscription fee is chared for subscription to shares of any share class. eInvestment subscription fee is 0%. 0%
Management fee Management fee is charged for managing investor’s funds without regard to returns. eInvestment management fee is 0%.
Ongoing fees
Redemption fee2.99%
Share classR
Geographic Allocation
As at 30 Apr 2020
  • 29.1 % United States
  • 22.3 % United Kingdom
  • 11.6 % Canada
  • 9.7 % China
  • 6.1 % Germany
  • 5.3 % France
  • 4.9 % Japan
  • 4.3 % Sweden
  • 3.6 % Hong Kong
  • 3.1 % Other
Sector Breakdown
As at 30 Apr 2020
  • 16.7 % Software & Services
  • 15.4 % Artificial Intelligence
  • 13.8 % Fintech
  • 12.1 % Robotics
  • 10.2 % Live Streaming
  • 9.5 % Health Care
  • 9.4 % Communication Services
  • 7.1 % Industrials
  • 4.7 % Diversified Financials
  • 1.1 % Other
Allocation by Currency
As at 30 Apr 2020
US Dollar
37.6%
37.6%
Euro
32.1%
32.1%
Great Britan Pound
13.6%
13.6%
Swiss Franc
7.3%
7.3%
Japanese Yen
5.2%
5.2%
Others
4.2%
4.2%
Portfolio Highlights
As at 30 Apr 2020
Highest Monthly Return
22.8%
Lowest Monthly Return
10%
Last Month Return
16%
Return Since 01 Jan 2020
40%
Interest Distribution Frequency
Monthly
Payable Day
10th
  • Investment PeriodExecution dateReinvest datePayable dateInterest rate
    01 Mar - 08 Mar10 Mar11 Mar11 Mar-0.17%
    22 Feb - 29 Feb01 Mar02 Mar02 Mar1.56%
    15 Feb - 22 Feb24 Feb25 Feb25 Feb2.94%
    08 Feb - 15 Feb17 Feb18 Feb18 Feb1.06%
    01 Feb - 08 Feb10 Feb11 Feb11 Feb1.06%
    Investment Period01 Mar - 08 Mar
    Execution date10 Mar
    Reinvest date11 Mar
    Payable date11 Mar
    Interest rate-0.17%
    Investment Period22 Feb - 29 Feb
    Execution date01 Mar
    Reinvest date02 Mar
    Payable date02 Mar
    Interest rate1.56%
    Investment Period15 Feb - 22 Feb
    Execution date24 Feb
    Reinvest date25 Feb
    Payable date25 Feb
    Interest rate2.94%
    Investment Period08 Feb - 15 Feb
    Execution date17 Feb
    Reinvest date18 Feb
    Payable date18 Feb
    Interest rate1.06%
    Investment Period01 Feb - 08 Feb
    Execution date10 Feb
    Reinvest date11 Feb
    Payable date11 Feb
    Interest rate1.06%
  • Investment PeriodExecution dateReinvest datePayable date
    01 Mar - 08 Mar10 Mar11 Mar11 Mar
    22 Feb - 29 Feb01 Mar02 Mar02 Mar
    15 Feb - 22 Feb24 Feb25 Feb25 Feb
    08 Feb - 15 Feb17 Feb18 Feb18 Feb
    01 Feb - 08 Feb10 Feb11 Feb11 Feb
    Investment Period01 Mar - 08 Mar
    Execution date10 Mar
    Reinvest date11 Mar
    Payable date11 Mar
    Investment Period22 Feb - 29 Feb
    Execution date01 Mar
    Reinvest date02 Mar
    Payable date02 Mar
    Investment Period15 Feb - 22 Feb
    Execution date24 Feb
    Reinvest date25 Feb
    Payable date25 Feb
    Investment Period08 Feb - 15 Feb
    Execution date17 Feb
    Reinvest date18 Feb
    Payable date18 Feb
    Investment Period01 Feb - 08 Feb
    Execution date10 Feb
    Reinvest date11 Feb
    Payable date11 Feb
manager-photo
Olaf Morens
Head of division
10 Years of Experience
manager-photo
Andrew Rodriguez
Lead Portfolio Manager
4 Years of Experience
manager-photo
Thomas Mayer
Senior Analyst
7 Years of Experience
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Sustainable Growth
Industries: Artificial Intelligence, Robotics & Automation, Fintech, Live Streaming and Digital Innovations
Interest distribution frequency: Weekly
High Volatile Securities and Cryptocurrencies are the key performance drivers. These sectors involve insignificantly higher risks because of much higher market volatility, but also offers a much higher yields. Carefully developed tactics and models are used to select the assets with good earnings prospects and a reasonable valuation. Efficient risk management is the key to improving performance.
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Latest dividends distributions:
Period Interest Rate
February +7.29%
March +12.94%
April +21.13%
Max
Hi
Med
Lo
Min
Feb 15
Feb 22
Feb 29
Mar 1
Mar 8