D&R Aktien Strategie I
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D&R Aktien Strategie aims to outperform its benchmark by actively managing its investments with a focus on reducing risk. The fund primarily invests in German, European, and American stocks, as well as stock funds, allowing for a diversified equity portfolio across these major markets. In addition to equities, the fund may include other types of investments such as bonds, certificates, money market instruments, and shares in other investment funds. This active management approach means the fund manager carefully selects and adjusts the portfolio based on their investment process to seek better returns.