BerolinaCapital Chance
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BerolinaCapital Chance is an actively managed investment fund aimed at achieving medium to long-term capital growth through a diverse portfolio. It allocates up to 75% in equity funds, 20-50% in bond funds, up to 30% in mixed or other types of funds, up to 20% in money market funds, and up to 35% in bank deposits. The fund enhances diversification by investing in a wide range of target funds and securities, selecting them based on fundamental market analysis, including factors like valuation, liquidity, profitability, investor sentiment, credit quality, and sector and regional exposure. This approach leverages the expertise of various fund managers to optimize risk and return.