Financialfond FI is a mixed investment fund that typically allocates around 60% of its portfolio to a diversified selection of primarily large-cap European stocks across various sectors, partially mirroring the EURO STOXX 50 and S&P 500 indices. The remaining 40% is invested in high- and medium-quality fixed-income instruments, including government and corporate bonds as well as liquid money market products. This balanced approach combines growth potential from equities with the stability of reliable fixed-income assets, while maintaining limited exposure to non-Euro regions to ensure diversification and manage risk.