*Rentabilidad anualizada
The Sub-Fund aims to generate capital growth in the long term through positions on a) world equity markets, while controlling the risks related to the assets classes via an active management of the portfolio of equity and equity related instruments (including but not limited to ordinary or preferred shares, convertible bonds) and b) bonds and other debt securities, issued or guaranteed by issuers located in a State which is a member of the OECD and/or by a State which is a member of the OECD. The strategy of the Sub-Fund has the maximum flexibility and no limitations to invest in any kind of assets, to achieve the highest possible return for the investors. (E.g. depending on market conditions the Sub-Fund's investment exposure in fixed income and/or global equities may vary from 0% to 100%)
Este producto aún no ha recibido ninguna opinión. Sé el primero en escribir la tuya para ayudar al resto de usuarios a tomar mejores decisiones financieras.
Este producto aún no ha recibido ninguna pregunta. Sé el primero en escribir la tuya para ayudar al resto de usuarios a tomar mejores decisiones financieras.