Deka-BR 35 aims for long-term capital growth by actively managing a diversified portfolio that includes European bonds and global stocks. The fund selects companies worldwide with strong fundamentals, attractive valuations, high-quality management, and robust competitive positions. In addition to direct investments in equities, Deka-BR 35 may use derivative instruments and equity-related assets to enhance diversification and manage risk, focusing on achieving stable performance through a balanced mix of fixed income and equity holdings.