DB Strategic Income Allocation USD (SIA) Conservative Plus USD LBD header image

DB Strategic Income Allocation USD (SIA) Conservative Plus USD LBD

Fund

ISIN LU2330519427 / Valor null

NAV (2025-11-14)
USD 89.81-0.58%

DB Strategic Income Allocation USD (SIA) Conservative Plus USD LBD
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DB Strategic Income Allc USD (SIA) Cnsv+ is an actively managed fund that aims for mid to long-term returns by investing in a diversified mix of fixed income, equities, and alternative assets. The fund strategically allocates its investments among these three main categories to balance growth and manage risk, with the goal of limiting annual capital losses to no more than 10%. The investment manager continuously adjusts the proportions of each asset class based on detailed analysis of their expected performance, volatility, and how they interact with one another to achieve the fund’s objectives.

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Tags:
equity fixed income

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OTHER SHARE CLASSES OF THIS FUND

DB Strategic Income Allocation USD (SIA) Conservative Plus USD SBD
DB Strategic Income Allocation USD (SIA) Conservative Plus USD SBD DB Strategic Income Allocation USD (SIA) Conservative Plus USD SBD
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Annual Return

-50%0%+50%

Risk level

110
-0.57%USD 9,263.29
DB Strategic Income Allocation USD (SIA) Conservative Plus USD LBD10
DB Strategic Income Allocation USD (SIA) Conservative Plus USD LBD10 DB Strategic Income Allocation USD (SIA) Conservative Plus USD LBD10
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Annual Return

-50%0%+50%

Risk level

110
-0.57%USD 9,351.37
DB Strategic Income Allocation USD (SIA) Conservative Plus USD WAMBD
DB Strategic Income Allocation USD (SIA) Conservative Plus USD WAMBD DB Strategic Income Allocation USD (SIA) Conservative Plus USD WAMBD
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Annual Return

-50%0%+50%

Risk level

110
-0.56%USD 9,442.34
DB Strategic Income Allocation USD (SIA) Conservative Plus USD PFBD
DB Strategic Income Allocation USD (SIA) Conservative Plus USD PFBD DB Strategic Income Allocation USD (SIA) Conservative Plus USD PFBD
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
-0.57%USD 89.18