Multiple Dimensions
Brazil isn’t one risk. Rates, credit, duration, and equities react to different drivers and roles.
The Bradesco Global Funds Brazil UCITS range offers a structured framework for global investors seeking precise exposure to Brazil. By treating the country as a set of distinct risk dimensions rather than a single view, this approach enhances clarity, governance, and flexibility in portfolio construction.
Brazil isn’t one risk. Rates, credit, duration, and equities react to different drivers and roles.
Each UCITS strategy focuses on one dimension, reducing overlap and enabling precise portfolio design.
Choose UCITS vehicles, segregated mandates, or sub-advisory for clear, governed Brazil exposure.