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Industrial Asset Management manages Mutual Funds supported by Banco Industrial S.A., as depositary. When you choose to invest with us, you agree to products designed and managed by professionals with experience and knowledge that enhanced value by investing in multiple assets with upside potential and low risk.

Industrial Asset Management manage Mutual Funds supported by Banco Industrial S.A ,as depositary. When you choose to invest with us , you agree to products designed and managed by professionals with experience and knowledge that enhanced value by investing in multiple assets with upside potential and low risk

Our Funds Family

Fondo IAM
Ahorro Pesos

Fund Objective:

The portfolio follows a conservative approach investing in short term assets and seeks to achieve a higher performance than its benchmark (50% saving account rate plus 50% fixed deposit rates).

Investor Profile:
The fund is aimed at investors with a high level of risk aversion and whose objective is to preserve capital by obtaining daily liquidity.

Redemption payments: Immediately

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Management Fees*:
Class A: Individual investor - 1.24% anual rate 
Class B: Corporate investor - 0.72% anual rate 
Class C: BIND employees - 0.72% anual rate 
Class D: +500 MM - 0.72% anual rate
*there are no sales charge or redemption charge.

Fondo IAM
Renta Plus

Fund Objective:

Maximize the performance of a portfolio of diversified fixed-income local assets in pesos. It prioritizes the preservation of capital in terms of return adjusted risks.

Investor Profile: 
The fund is aimed at investors with a low appetite for risk and whose objective is the conservation of capital, maintaining a high level of liquidity in the short term.

Redemption payments: 24 hours

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Management Fees*:
Class A: Individual investor - 1.96% anual rate 
Class B: Corporate investor - 1.74% anual rate 
Class C: BIND employees - 1.74% anual rate 
Class D: +500 MM - 1.74% anual rate
*there are no sales charge or redemption charge.

Fondo Renta
Capital 

Fund Objective:

Maximize the performance of a diversified local bonds portfolio with attractive valuation and low volatility.

Investor Profile: 
The fund is aimed at investors with a low level of risk aversion and whose objective is to access to a diversified portfolio of fixed income assets with an adequate level of volatility.

Redemption payments: 24 hours

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Management Fees*:
Class A: Individual investor - 2.06% anual rate 
Class B: Corporate investor - 1.86% anual rate 
Class C: BIND employees - 1.86% anual rate 
Class D: +500 MM - 1.86% anual rate
*there are no sales charge or redemption charge.

Fondo IAM
Renta Crecimiento

Fund Objective:

Seek to optimize return on a diversified medium-term fixed income portfolio

Investor Profile: 
The fund is aimed at investors with a medium risk level whose objective is to be able to access a diversified portfolio of Argentine fixed-income assets within a medium-term horizon.

Redemption payments: 48 hours

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Management Fees*:
Class A: Individual investor - 2.26% anual rate 
Class B: Corporate investor - 1.96% anual rate 
Class C: BIND employees - 1.96% anual rate 
Class D: +500 MM - 1.96% anual rate
*there are no sales charge or redemption charge.

Fondo IAM
Renta Variable 

Fund Objective:

Seeks long-term capital appreciation. The investment policy is based on low asset turnover, risk diversification and selection of stocks with good performance and attractive valuation.

Investor Profile: 
The fund is aimed at investors with a high level of risk whose objective is to obtain a yield superior to the Benchmark (Merval) by accessing a diversified portfolio of stocks.

Redemption payments: 48 hours

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Management Fees*:
Class A: Individual investor - 2.87% anual rate 
Class B: Corporate investor - 2.67% anual rate 
Class C: BIND employees - 2.87% anual rate 
Class D: +30 MM - 2.37% anual rate
*there are no sales charge or redemption charge.

Fondo IAM
PYMES 

Fund Objective:

Invest in products whose purpose is to finance Pymes (SME's).

Investor Profile: 
The fund is aimed at qualified investors, with a moderate level of risk aversion and whose investment horizon is medium term.

Redemption payments: 48 hours

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Management Fees*:
Class A: Individual investor - 2.59% anual rate 
Class B: Corporate investor - 2.19% anual rate 
Class C: Person/Entity related - 1.29% anual rate 
Class D: +500 MM - 1.14% anual rate
*there are no sales charge or redemption charge.

Fondo IAM 
Renta Dolares 

Fund Objective:

Maximize the performance of a portfolio of diversified fixed-income short term dollar assets. It prioritizes the preservation of capital.

Investor Profile: 
The fund is aimed at investors with a conservative risk level whose objective is to access a diversified portfolio of Argentine fixed-income financial dollar assets within a short-term horizon.

Redemption payments: 24 hours

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Management Fees*:
Class A: Individual investor - 0.5605% anual rate 
Class B: Corporate investor - 0.4605% anual rate 
Class C: BIND employees - 0.4605% anual rate 
Class D: +30 MM - 0.4605% anual rate
*there are no sales charge or redemption charge.

Fondo IAM 
Estrategia 

Fund Objective:

Maximize the performance of a portfolio of diversified fixed-income assets in dollars. The fund seeks opportunities for capital gain and proactive management along the yield curve.

Investor Profile: 
The fund is aimed at investors with a moderate level of risk whose objective is to be able to access a diversified portfolio of Argentine fixed-income assets in dollars.

Redemption payments: 48 hours

ico mas info Factsheet

Management Fees*:
Class A: Individual investor - 0.92% anual rate 
Class B: Corporate investor - 0.72% anual rate 
Class C: BIND employees - 0.72% anual rate 
Class D: +500 MM - 0.72% anual rate
*there are no sales charge or redemption charge.

 
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