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Mediterranean Fund

Least risk
Potentially lower return
  • 1
  • 2
  • 3
  • 4
  • 5
  • 6
  • 7
Most risk
Potentially higher return

Category "1" does not mean that the investment is risk-free

It's time to give back what the sea has given us.

What is it?

March International Mediterranean Fund is a sustainable, themed and socially responsible fund (ART. 8 SFDR) that invests in listed companies directly involved in what is known as the ocean economy.

It is a global equity fund that invests in listed companies related to two major themes: the ocean economy and water.

The ocean, the planet's 7th economy, is a major source of resources with high growth potential in sectors such as food, tourism, transport, and in the economy of coastal regions in general.

Its investment process includes ESG criteria, and it is a socially-responsible fund as it allocates 10% of management fees to projects to protect the sea.

Why invest?

By investing in companies and sectors involved in economic activities related to the oceans and seas, as well as in the supply and treatment of water, you can participate in the growth and development of companies and sectors working towards one of the 2030 Sustainable Development Goals set by the UN.

The Investment Committee is responsible for analysing the economic and financial environment and establishing the investment strategy. All investment professionals of the fund manager are members of this committee.
As active value managers, we conduct a comprehensive fundamental analysis of companies to identify those with the greatest potential for revaluation in the mid-long term.
We are conviction investors, with a portfolio of between 40 and 60 stocks. We adopt a low rotation policy and we do not follow benchmark indices.

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Managed by

Íñigo Colomo

Thematic Equity Fund Manager

Iñigo joined March A.M in April 2018. He started his professional career in the treasury departments at different investment banks including Natwest España and Banco de Negocios Argentaria, where he was Head of the Fixed Income Derivatives division. He made the switch to asset management in 1999 at Fonditel, the pension fund manager of the Telefónica Group, where he was promoted to the position of Chief Investment Officer.

He later served in senior positions at a variety of firms, serving as Chief Investment Officer at KBL España and Imantia Capital. He has more than 25 years of experience in asset management. Iñigo has a degree in aeronautical engineering from the Escuela Universitaria de Ingeniería Técnica Aeronáutica de Madrid and a master's degree from the Ecole Aeronautique et de l'Espace de Toulouse. He is also certified in ESG investing by the CFA.

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