Commerzbank Flexible Allocation Euroland T
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Commerzbank Flexible Allocation Euroland seeks high growth by primarily investing over half of its assets in Eurozone-issued securities and bank deposits, and the remaining majority in a diverse mix of large-cap companies from both within and outside the Eurozone. The fund uses a technical, quantitative approach to manage its exposure to the market by timing the use of equity market futures based on identified market trends, rather than picking individual stocks. This strategy aims to optimize performance by responding to overall market movements.
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OTHER SHARE CLASSES OF THIS FUND
Commerzbank Flexible Allocation Euroland R
Commerzbank Flexible Allocation Euroland R
Commerzbank Flexible Allocation Euroland R
Annual Return
-50%0%+50%
Risk level
110
-0.29%EUR 71.80
Commerzbank Flexible Allocation Euroland A
Commerzbank Flexible Allocation Euroland A
Commerzbank Flexible Allocation Euroland A
Annual Return
-50%0%+50%
Risk level
110
-0.30%EUR 73.00
Commerzbank Flexible Allocation Euroland I
Commerzbank Flexible Allocation Euroland I
Commerzbank Flexible Allocation Euroland I