DB PWM II Active Asset Allocation Portfolio Conservative (EUR) A header image

DB PWM II Active Asset Allocation Portfolio Conservative (EUR) A

Fund

ISIN LU0327311477 / Valor 3477344

NAV (2026-07-10)
EUR 1,512.26+0.49%

DB PWM II Active Asset Allocation Portfolio Conservative (EUR) A
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DB PWM II Act Asset Alloc ESG Cons EUR primarily invests in a mix of equity and fixed income securities, either directly or through regulated UCITS and UCIs managed by its Investment Advisor or affiliated companies. The fund emphasizes environmental and social sustainability and diversifies its portfolio by also allocating assets to open-ended hedge funds, real estate investments, real estate-related companies, and commodity future contracts. This balanced approach aims to reduce exposure to traditional equity and bond markets while promoting responsible investment practices.

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social msci world environmental

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OTHER SHARE CLASSES OF THIS FUND

DB PWM II Active Asset Allocation Portfolio Conservative (EUR) PF
DB PWM II Active Asset Allocation Portfolio Conservative (EUR) PF DB PWM II Active Asset Allocation Portfolio Conservative (EUR) PF Valor: 18819919
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Annual Return

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Risk level

110
0.33%EUR 127.88