cominvest Flexible Portfolio Acc
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The cominvest Flexible Portfolio is designed for long-term capital growth through active management of a diverse range of investments. Its portfolio includes a minimum of 25% in stocks or equity funds, up to 15% in alternative strategies such as hedge funds, and the remaining assets are invested in interest-bearing securities, bank deposits, money market instruments, certificates, and other funds. Additionally, the fund may utilize derivatives to manage risks or enhance return opportunities, ensuring a balanced and adaptable investment approach.