Leon Income Fund

A proven bond strategy with $200 million invested since 2015
  • An actively managed portfolio with a focus on absolute returns
  • Low minimum investment of EUR 125k / USD 150k with a safe custodian (EFG Bank)
  • Fund manager open to communication with investors

Leon Income Fund is a long-only bond strategy. The main goal is to minimize risks at any point in the economic cycle. To achieve this goal, the Fund has the flexibility to use a wide range of investment instruments (government and corporate bonds, floaters, inflation-linked, etc.). Investment ideas are picked on a fundamental quality basis. The Fund has a diversified portfolio and no leverage.

Key Information Documents
Class A (EUR) shares
Class B (USD) shares

RAIF V.C.I.C. PLC
CySEC Registration Number: RAIF98

Artem Kalinin

Fund Manager

You can contact Artem directly via:

T: +357 25 268 120
M: +357 96 526 777
E: artem.kalinin@leonmfo.com