As an independent developer of innovative investment concepts, we are pleased to inform you that the ‘Multi Asset Artificial Intelligence’ fund was launched on 29 November 2024. As portfolio manager, Trion Invest AG invests in various asset classes on the basis of artificial intelligence forecasts. The fund aims to achieve capital growth. 1741 Fund Solution AG acts as fund manager. The custodian bank is Bank Julius Bär & Co. AG.

The selection of the respective asset class is based on algorithms based on artificial intelligence, which analyse the current market situation on the basis of extensive historical and forward-looking data and make independent forecasts of its future development. Depending on the respective market phase, investments are made in the global or Swiss equity market, global government bonds or cash.

We are convinced that the right timing of the individual asset classes can generate additional added value in the long term.

Our vision is to play a pioneering role in the development of innovative and high-performance investment concepts through the innovative use of artificial intelligence and state-of-the-art portfolio optimisation technology. We strive to continuously find new ways to maximise long-term investor success.

 

Disclaimer:

For informational purposes only: This marketing article is intended exclusively for informing the recipient and does neither constitute an investment advice, an offer or a recommendation to purchase financial instruments nor release the recipient from his or her own assessment. This marketing advertisement relates to the shares of the respective fund and not to a base value acquired by the fund. The fund is actively managed.

General: The basis for the purchase of collective investment schemes are the applicable fund documents, in conjunction with the most recent annual report or, if available, semi-annual report of the collective investment scheme. Please read the legally required fund documents before making a final investment decision. The investment policy may only be reproduced in an abbreviated form. The complete investment policy, including all investment restrictions, can be found in the fund documents. This fund is domiciled in Switzerland.

Performance:  There are risks associated with every investment, especially those of fluctuations in value and income. Investments are volatile and associated with risk, which include the potential loss of the capital invested. Furthermore, there can be no guarantee that the performance of the benchmark index will be reached or exceeded. A positive performance in the past or the indication of such is no guarantee for a positive performance in the future. Investments in foreign currencies may be subject to currency fluctuations. There is also the risk that the foreign currency will lose value compared to the investor’s reference currency.

Distribution in Switzerland: This collective investment scheme may be distributed to qualified investors in Switzerland.