Bankinter Mixto Flexible R FI
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Bankinter Mixto Flexible FI is a versatile investment fund that allocates between 30% and 75% of its assets to a diverse selection of stocks, primarily from European and OECD/European Union markets, focusing on companies with strong growth potential and including a small portion from emerging markets. The remaining portion of the portfolio is invested in various fixed-income instruments, such as government and corporate bonds and liquid money market products, mainly issued by entities within the OECD/EU. Additionally, the fund ensures that investments outside the euro area and exposure to currency risk do not exceed 30% of the total portfolio, maintaining a balanced and flexible approach between equities and fixed-income assets.
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Bankinter Mixto Flexible C FI
Bankinter Mixto Flexible C FI
Bankinter Mixto Flexible C FI