Institutional SICAVs

The basic pillars of our SICAVs are value generation and long-term return for small and large-scale investors

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An initiative that forges long-term bonds with small and large investors alike, pooling our resources to secure shared growth

FLEXIBLE MANAGEMENT MODEL

that includes a wide range of exposure to equities with a fixed risk level in the medium and long term.

GLOBAL INVESTMENT

that goes beyond geographical borders, sectors and financial instruments.

ACTIVE PRESENCE OF OUR SHAREHOLDERS

on investment committees.

GLOBAL ANALYSIS VARIABLES

focussing on interest rates and the target valuations of financial markets.

WE USE DERIVATIVES

as a one-off hedging instrument without the need for leveraging.

INCLUSION OF ESG

criteria in the analysis and assessment of companies.

  • Torrenova de Inversiones SICAV, S.A.

    Our most conservative SICAV, which pays testament to the experience and historic involvement of the March Group in asset management.

  • Cartera Bellver SICAV, S.A.

    Asset preservation and value creation within a risk-controlled environment: the moderate investment option within the March Group’s Institutional SICAVs.

  • Lluc Valores SICAV, S.A.

    Lluc is one of our most emblematic investment strategies and that which pursues the most adventurous investment strategy.

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