DB Crecimiento ESG FI is an international mixed fund that allocates about half of its portfolio to equities, including major European stocks and global companies outside the eurozone, and 45% to high-quality corporate and government bonds with average maturities of three to five years. Additionally, the fund holds 5% in cash equivalents and may invest up to 10% in commodities. Emphasizing environmental, social, and governance (ESG) criteria, DB Crecimiento ESG FI ensures that the majority of its investments meet responsible and sustainable standards.