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    MUTUAL FUNDS

    Toronto Trust

    Our goal is providing you a mutual fund for each of your goals.

    Info
    MUTUAL FUNDS

    Toronto Trust

    Our goal is providing you a mutual fund for each of your goals.

    Info

    Funds

    • Ahorro

      Money Market

      • LOW
      • MED.
      • HIGH

      Risk Profile

      Ahorro

      Money Market

      • LOW
      • MED.
      • HIGH

      Risk Profile

      The fund aims to provide liquidity and principal preservation by investing in term deposits and sight deposits.

      NAV (of 1.000 shares)

      • Class A$9.880,490
      • Class B$10.503,808
      • Class C$6.822,828
      + INFO
    • Renta Fija

      Short-Term Fixed Income

      • LOW
      • MED.
      • HIGH

      Risk Profile

      Renta Fija

      Short-Term Fixed Income

      • LOW
      • MED.
      • HIGH

      Risk Profile

      The fund seeks to obtain a return similar to the interest rate for 30-day wholesale term deposits while maintaining a low level of volatility. The fund invests primarily in short-term fixed income securities, including corporate bonds, sovereign & subsovereigns bonds, Central Bank notes, among others.

      NAV (of 1.000 shares)

      • Class A$10.445,241
      • Class B$10.807,499
      • Class C$10.731,127
      + INFO
    • Toronto Trust

      Med. Term Fixed Income

      • LOW
      • MED.
      • HIGH

      Risk Profile

      Toronto Trust

      Med. Term Fixed Income

      • LOW
      • MED.
      • HIGH

      Risk Profile

      The fund seeks capital appreciation while maintaining a moderate exposure to risk. The fund invests primarily in local mid-term fixed income securities, both in pesos and in dollars.

      NAV (of 1.000 shares)

      • Class A$126.936,754
      • Class B$28.471,813
      • Class C$28.267,734
      + INFO
    • Retorno Total

      CER/UVA Fixed Income (Inflation Target)

      • LOW
      • MED.
      • HIGH

      Risk Profile

      Retorno Total

      CER/UVA Fixed Income (Inflation Target)

      • LOW
      • MED.
      • HIGH

      Risk Profile

      The fund´s main aim consists in capital appreciation through the investment in financial instruments of small and medium-sized companies, with a moderate risk exposure. The fund invests, to date, mainly in short-term, medium-term and long-term fixed income SME assets, denominated in pesos and dollars.

      NAV (of 1.000 shares)

      • Class A$5.113,185
      • Class B$5.976,111
      • Class C$5.177,373
      + INFO
    • Global Capital

      Renta Fija Dólar Linked

      • LOW
      • MED.
      • HIGH

      Risk Profile

      Global Capital

      Renta Fija Dólar Linked

      • LOW
      • MED.
      • HIGH

      Risk Profile

      The fund prioritizes mid-term capital preservation investing primarily in assets linked to exchange rate by subscription/redemption in Argentine pesos. It invests in dollar denominated bonds issued by local corporates and short-term sovereign notes denominated in Argentine pesos hedged with futures of USD.

      NAV (of 1.000 shares)

      • Class A$3.177,037
      • Class B$17.112,645
      • Class C$3.283,621
      + INFO
    • Renta Fija Plus

      Renta Fija Flexible

      • LOW
      • MED.
      • HIGH

      Risk Profile

      Renta Fija Plus

      Renta Fija Flexible

      • LOW
      • MED.
      • HIGH

      Risk Profile

      The fund is aimed at capital appreciation with an intermediate level of volatility. Invests in fixed income assets with a flexible approach to strategies and very active management.

      NAV (of 1.000 shares)

      • Class A$23.781,093
      • Class B$50.303,179
      • Class C$24.530,374
      • Class D$1.619,132
      • |
      + INFO
    • Argentina 2021

      Argentine stocks and bonds (2021)

      • LOW
      • MED.
      • HIGH

      Risk Profile

      Argentina 2021

      Argentine stocks and bonds (2021)

      • LOW
      • MED.
      • HIGH

      Risk Profile

      Capital appreciation by investing in argentine assets, taking exposure to risk and volatilty in the mid-long term. The fund invests in fixed income and stocks. It has the advice of Consultores Asset Management S.A., company specialized in emerging markets led by Eduardo Elsztain.

      NAV (of 1.000 shares)

      • Class A$1.928,479
      • Class B$1.950,473
      • Class C$1.946,486
      • Class D$1.945,329
      + INFO
    • CRECIMIENTO

      Renta Fija USD

      • LOW
      • MED.
      • HIGH

      Risk Profile

      CRECIMIENTO

      Renta Fija USD

      • LOW
      • MED.
      • HIGH

      Risk Profile

      The fund aims at capital appreciation by investing mainly in Argentine sovereign bonds in dollars, and up to 25% in equities. It is intended for investors with a long-term investment horizon, willing to withstand volatility.

      NAV (of 1.000 shares)

      • Class A$65,143
      • Class B$65,659
      • Class C$65,174
      + INFO
    • Liquidez Dolar

      Letes + US T-bills

      • LOW
      • MED.
      • HIGH

      Risk Profile

      Liquidez Dolar

      Letes + US T-bills

      • LOW
      • MED.
      • HIGH

      Risk Profile

      The fund seeks capital appreciation in the mid-long term. To date, it invests primarily in Argentine stocks.

      NAV (of 1.000 shares)

      • Class A$1.091,281
      • Class B$1.062,339
      • Class C$1.041,025
      + INFO
    • Multimercado

      Equity Fund

      • LOW
      • MED.
      • HIGH

      Risk Profile

      Multimercado

      Equity Fund

      • LOW
      • MED.
      • HIGH

      Risk Profile

      The fund seeks capital appreciation in the mid-long term. To date, it invests primarily in Argentine stocks.

      NAV (of 1.000 shares)

      • Class A$28.716,945
      • Class B$30.569,992
      • Class C$30.393,924
      • Class D$6.761,183
      + INFO
    • ABIERTO PYMES

      Renta Fija Pymes

      • LOW
      • MED.
      • HIGH

      Risk Profile

      ABIERTO PYMES

      Renta Fija Pymes

      • LOW
      • MED.
      • HIGH

      Risk Profile

      The fund´s main aim consists in capital appreciation through the investment in financial instruments of small and medium-sized companies, with a moderate risk exposure. The fund invests, to date, mainly in short-term, medium-term and long-term fixed income SME assets, denominated in pesos and dollars.

      NAV (of 1.000 shares)

      • Class A$0,000
      • Class B$12.655,611
      • Class C$9.880,490
      + INFO
  • VER
  • About Us

    BACS Administradora de Activos (BACSAA) is the Management Company of the TORONTO TRUST Investing Funds. Our main shareholder is BACS (Banco de Crédito y Securitización), Banco Hipotecario’s wholesale bank.

    BACS specializes in the structuring and distribution of financial instruments, Sales & Trading Asset Management. The company is positioned within the top corporate debt placers in the primary and secondary market, leading of both rankings in 2016.

    BACS shareholding in composed by: 62% Banco Hipotecario and 38% IRSA.

    With the trajectory and backup of a 130 year bank along with the dynamism and professionalism of a wholesale bank, position Banco Hipotecario and BACS as one of the leading companies in the local capital market.

    BACS - Banco Hipotecario
  • INVEST WITH US

    The opportunity to turn your plans to reality

    We guide you throughout the whole investing process and help you reach your goal. We counsel you from the beginning, constantly analyzing the opportunities the market has to offer.

    A team that searches for your best choice

    According to your investing profile and horizon, we offer you a vast variety of products: Money Market Funds, Fixed Income, Equity Funds, Liquidity in USD, within others. We work to provide you a product for each of your objectives.

    Advantages of Investing in funds:
          • Liquidity
          • No In/Out costs
          • Diversification
          • Active Management
          • Professional Team

  • Contact

    • Tucumán 1 Floor 19 'B'

      (C1049AAA) CABA

    • Tel. (54 11) 4329-4267

      Fax (54 11) 4329-4282

    Toronto Trust Bacs

© 2017 Toronto Trust ENGLISH VERSION VERSIÓN ESPAÑOL CNV
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