Allianz Multi Asset Risk Control -A- EUR
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Allianz Multi Asset Risk Control seeks to generate income and long-term growth by actively investing in a diversified portfolio that includes stocks, international bonds, real estate, commodities, hedge funds, and private equity. The fund prioritizes sustainability by choosing individual securities like green bonds and shares of companies with strong environmental and social practices. By leveraging a multi-asset sustainable strategy, it aims to outperform its benchmark through careful selection and allocation across these various asset classes.