Fund strategy
The Portfolio seeks to maximize total return. The Portfolio is designed as a solution for investors who seek long-term growth of capital with moderate volatility by investing in a multi-asset fund which dynamically adjusts investment exposures. The Portfolio invests in a globally diversified portfolio of securities and other financial instruments, including financial derivative instruments (Derivatives), that provide investment exposures to a variety of asset classes.
Performance
Fees and Expenses
Total Returns
Fund's details
Geographical Distribution
Fund's portfolio distribution among the different geographical areas.
United States of America | 52,66% | |
JAPAN | 8,27% | |
UNITED KINGDOM | 5,16% | |
AUSTRALIA | 4,75% | |
CANADA | 3,58% | |
SWITZERLAND | 2,72% | |
FRANCE | 2,26% | |
NETHERLANDS | 2,10% | |
GERMANY | 2,06% | |
IRELAND | 1,98% |
By investments
Fund's investments distribution.
Ab Sicav I-low Volatility Equity Pf S1 Usd | 2,17% |
Microsoft Corp Ord | 2,15% |
Japan (government) .1% 20-dec-2023 | 1,38% |
Australia, Commonwealth Of (government) 2.75% 21-n | 1,31% |
United States Of America .375% 30-nov-2023 | 1,23% |
Australia, Commonwealth Of (government) 4.75% 21-a | 1,07% |
Amazon.com Inc Ord | 0,98% |
United States Of America (government) .125% 15-jul | 0,94% |
United States Of America (government) 1.125% 15-au | 0,94% |
Japan (government) 01-jul-2023 | 0,91% |
By sector
Fund's possitions distribution by the sdctor they belong to.
Technology | 16,95% |
Financials | 9,78% |
Consumer Cyclicals | 8,17% |
Healthcare | 7,77% |
Industrials | 6,17% |
Consumer Non-cyclicals | 3,97% |
Energy | 2,33% |
Basic Materials | 1,94% |
Utilities | 1,33% |
Telecommunications Services | 0,89% |