Pan-Americas Investment Fund
by Goldman BH
by Goldman BH
Pan-Americas Investment Fund Details
Prospectus
Combine deep regional expertise with rigorous risk management discipline to produce consistent, passive, fixed income from government bonds in Central and South American (Latin American and Caribbean) countries.
Investment Strategy
The Pan-Americas Investment Fund invests in government bonds of several different countries in Central and South America, (Latin America and Caribbean), and currency hedges to minimize exchange rate risk.
Our proprietary macroeconomic models track fiscal policy, inflation and political risk across the region.
We aim to find the best opportunities to capture attractive returns while maintaining disciplined risk parameters to ensure our portfolio remains resilient across market scenarios and currency volatilities.
Expected Annual Returns
8 ~ 12 %
Use our simulator to estimate the returns on your investment
Fund Specifications
Fund Name:
Pan-Americas Investment Fund
Fund Manager:
Goldman Business Holdings Ltd
Inception Date:
10th October 2024
Minimum Investment:
100.000 USD
Average Return:
8 to 12% per year
Strategy:
A proprietary sovereign bond strategy targeting high-quality government bonds across Central and South American countries, currency hedges and related securities.
Objective: Provide passive fixed income to our investors with disciplined risk management for conservation of principal capital, with capital appreciation as a secondary consideration.
Returns Distribution:
Returns are distributed to investors or reinvested after 1 year, depending on investors choice.
Target Clients:
Long term oriented sophisticated investors seeking to generate consistent yearly passive income while preserving their capital. The fund is open to individuals, endowments, foundations, pension funds, companies and family offices.
Investment Duration:
Minimum 1 year
Redemption:
Free redemptions after 1 year. 2% Early redemption fee for redemptions under 12 months.
Management Fee:
2% per year
Performance Fee:
20% of returns for investments below 1 million.
10% of returns for investments between 1 and below 10 million.
5% of returns for investments 10 million and above.
Join many individual and institutional investors who trust Goldman Business Holdings to navigate Central and South America's investment opportunities.
Deep on-the-ground knowledge across 15+ Latin American and Caribbean countries, from Brazil to Panama and beyond.
Proprietary investing in government bonds, providing investors with the consisteny of fixed income.
Strict duration limits, concentration caps, and currency hedging protocols ensure the portfolio remains resilient across market scenarios and currency volatilities
Within approved sovereign issuers, we select bonds based on yield curve positioning, liquidity, and relative value across tenors and currencies.
Proprietary macroeconomic models tracking fiscal policy, inflation, and political risk across the region.
Our proprietary models continuously evaluate fiscal balances, inflation trajectories, central bank policy, and political risk across all target markets.
Capturing attractive yield premiums in emerging sovereign markets while maintaining disciplined risk parameters.