FFPB Rendite header image

FFPB Rendite

Fund

ISIN LU0317844842 / Valor 3346355

NAV (2026-07-15)
EUR 10.97%

FFPB Rendite
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FFPB Rendite aims to grow investors' capital over the long term by diversifying its investments primarily in open-ended bond funds. Additionally, up to 25% of the portfolio is allocated to equity funds and equity ETFs. The fund also includes UCITS-compliant, listed index funds, mixed securities funds, money-market-like funds, and money-market funds to ensure a balanced and diversified investment approach. Liquid assets are maintained, and derivatives may be used to manage risk or enhance returns.

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