Amundi Funds Multi- Asset Real Return A EUR (C)
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General Objective
The Sub-Fund aims to achieve real returns through a combination of capital growth and income, while promoting ESG characteristics pursuant to Article 8 of the Disclosure Regulation.
Fund Exposure
The Sub-Fund may invest in government bonds, money market instruments, investment grade corporate bonds, below-investment-grade corporate bonds, equities, ABSs, MBSs, SPACs, commodities, convertible bonds, contingent convertible bonds, and UCITS/UCIs. It utilizes derivatives for risk reduction and efficient portfolio management.
Risks
The Sub-Fund is exposed to risks arising from investments in equity, interest rate, and foreign exchange markets. Important risks include credit risk, liquidity risk, counterparty risk, operational risk, and emerging markets risk. Historical data may not reliably indicate future performance.