Eurizon Fund - Inflation Strategy - R EUR
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Eurizon Inflation Strategy aims to grow investments above inflation by holding a diverse mix of assets, including 49% in stocks and related instruments, 30% in commodities, and 30% in bonds from emerging markets. The fund also invests in below investment grade debt, Russian-issued bonds, unrated debt, asset-backed securities, and contingent convertible bonds, each making up around 10-20% of the portfolio. By spreading investments across various asset classes and global regions, including China and Russia, the fund seeks to achieve real returns through both direct investments and derivatives.
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global investmentsmulti asset
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Eurizon Fund - Inflation Strategy - Z EUR
Eurizon Fund - Inflation Strategy - Z EUR
Eurizon Fund - Inflation Strategy - Z EUR