Tunnusluvut
Juoksevat kulut
1,70%Omaisuusluokka
YhdistelmäKategoria
Yhdistelmä globaali joustava, euroPerusvaluutta
EURLainoitusaste
0%Avaintietoasiakirja
The objective of the Fund is to achieve a long term capital appreciation to a moderate risk level by providing dynamic long exposure to a diversified range of asset classes and financial instruments. The Fund is actively managed and invests in a wide variety of global markets and asset classes consisting of equity indices, fixed income, foregin exchange and eligible diversified commodity indices. The Fund uses quantitative models for asset allocation and portfolio construction purposes.
Vastaavan tyyppisiä rahastoja
Omistukset
Jakauma
Asiakkaat katsoivat myös
Foorumi
Uutiset
Tunnusluvut
Juoksevat kulut
1,70%Omaisuusluokka
YhdistelmäKategoria
Yhdistelmä globaali joustava, euroPerusvaluutta
EURLainoitusaste
0%Avaintietoasiakirja
The objective of the Fund is to achieve a long term capital appreciation to a moderate risk level by providing dynamic long exposure to a diversified range of asset classes and financial instruments. The Fund is actively managed and invests in a wide variety of global markets and asset classes consisting of equity indices, fixed income, foregin exchange and eligible diversified commodity indices. The Fund uses quantitative models for asset allocation and portfolio construction purposes.
Vastaavan tyyppisiä rahastoja
Uutiset
Omistukset
Jakauma
Asiakkaat katsoivat myös
Foorumi
Tunnusluvut
Juoksevat kulut
1,70%Omaisuusluokka
YhdistelmäKategoria
Yhdistelmä globaali joustava, euroPerusvaluutta
EURLainoitusaste
0%Avaintietoasiakirja
The objective of the Fund is to achieve a long term capital appreciation to a moderate risk level by providing dynamic long exposure to a diversified range of asset classes and financial instruments. The Fund is actively managed and invests in a wide variety of global markets and asset classes consisting of equity indices, fixed income, foregin exchange and eligible diversified commodity indices. The Fund uses quantitative models for asset allocation and portfolio construction purposes.





