The Fund invests between 50% -100% of the assets (usually 80%) in other funds, which are qualifying asset, harmonized or not, belonging or not to the Manager's group. It invests directly or indirectly, between 30% -75% of the total exposure in equities, and the rest in public and/or private fixed income assets. It invests only in liquid private fixed income assets. In both direct and indirect investment, there is no predetermined distribution of assets by type of issuer public/private, rating of issue/issuer, market capitalization, currencies, economic sectors or countries.
Fees and Expenses
Fund's portfolio distribution among the different geographical areas.
|United States of America||30,34%|
Fund's investments distribution.
|Invesco S&p 500 Esg Ucits Etf Acc||12,11%|
|E-mini Euro Jun2||5,64%|
|Estx 50 Jun2||5,20%|
|Threadneedle (lux)-credit Opportunities 8e||4,67%|
|Evli Short Corporate Bond B||4,55%|
|Ossiam Shiller Barclays Cape Us Sector Val Tr 1cu||4,22%|
|Muzinich Emergingmarketsshortdurationhdg Eur Acc H||3,35%|
|Pictet-short Term Emerging Corporate Bonds-hi Eur||3,31%|
|Jpm America Equity A Acc Usd||3,27%|
Fund's possitions distribution by the sdctor they belong to.
|Not Classified - Non Equity||41,62%|