Miralta

Atlas Global

Flexible investing in global markets

A mixed international equity fund of funds combining equities and fixed income, with a flexible approach and a Global Macro philosophy to identify investment opportunities.

Investment Opportunity

Miralta Atlas Global was launched with the aim of providing diversified exposure to different sources of return through a flexible combination of equities and fixed income, both directly and indirectly via investments in collective investment schemes (CIIs/UCITS and other funds).

The fund follows a Global Macro management philosophy, based on analysing the economic environment and global monetary and fiscal policies. From this perspective, the portfolio can adapt to different market scenarios, without rigid constraints by issuer type, sector, geography or duration.

The strategy typically invests around 40% in equities, with an indicative range of 30% to 75%, allocating the remainder to public or private fixed income, deposits and money market instruments. In addition, it may include currency exposure and, to a limited extent, commodities through eligible assets.

What does it offer investors?

  • Active management with a Global Macro approach, based on analysis of the economic cycle and monetary and fiscal policy.

  • Global and flexible exposure to equities and fixed income, without rigid limits by region, sector or issuer type.

  • Investment primarily through financial CIIs (harmonised/UCITS or non-harmonised), from the group or third parties, selected using quantitative and qualitative criteria.

  • Ability to invest in developed and emerging markets, as well as to take currency exposure.

  • Accumulation share class, reinvesting the returns obtained.

CLASS B

PERFORMANCE ↓

1.74 %

Performance Since inception

101.728067€

Net asset value* as at 2026-04-20

0.4%

MTD

In the year 1.74%

DETAILS OF THE FUND ↓

DATOS GENERALES

  • CNMV Registration No.
  • ISIN Code
  • Launch Date
  • Currency
  • Management Fee
  • Depositary fee
  • Minimum investment
  • Auditor
  • Depositary
  • 6022
  • ES0163961008
  • 04/12/2025
  • EUR
  • 1,1%
  • 0,075% - 0,1%
  • 100 €
  • ERNST & YOUNG (EY)
  • CACEIS BANK SPAIN S. A.

COMPARATIVE REFERENCE

European Central Bank ESTR OIS
15%
Bloomberg/EFFAS Bond Indices Euro Govt 1-3 Yr TR
15%
Bloomberg Barclays Euro Aggregate
30%
STOXX Europe 600 Net Return EUR
20%
MSCI All Country World Index Net Total Return EUR
20%

*These indices are used for comparison purposes only. The fund is not managed by reference to any index.

Documentation ↓

(*): The net asset value and other informative documents of the funds available on this website are published in accordance with Article 18.2 of the Law on Collective Investment Undertakings under the responsibility of Miraltabank Investment Managers SGIIC, S.A.U., which is responsible for updating and maintaining them.

MORE INFORMATION ↓

Personal Information

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