Deka-Multimanager defensiv Anteilklasse CF
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Deka-Multimanager defensiv seeks medium to long-term capital growth by building a diversified portfolio composed of various target funds. The portfolio typically includes around 25% in equities, alongside bonds and other securities selected for their growth potential and stability. By investing in multiple specialist-managed funds, it spreads risk across different regions, sectors, and credit qualities. The active management team continuously adjusts the allocation based on market conditions to optimize performance and ensure a balanced mix of assets.