Amundi Funds - Global Multi-Asset A USD (C)
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General Objective
The Sub-Fund aims to increase the value of investments and provide income over the recommended holding period. It invests in a broad range of securities globally, including equities, bonds, money market securities, and commodities.
Fund Exposure
The Sub-Fund is exposed to various asset classes such as equities, government and corporate bonds, convertible bonds, money market securities, and commodities. It may also invest in ABSs, MBSs, and SPACs. The fund uses derivatives for risk reduction and efficient portfolio management.
Risks
The main risk associated with this Sub-Fund is market risk from investments in equity markets. Other risks include credit risk, liquidity risk, counterparty risk, operational risk, and risks related to investments in emerging markets. Historical data may not be indicative of future performance, and the lowest risk category does not mean 'risk-free'.