Fondmapfre Renta Mixto R FI
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Fondmapfre Renta Mixto FI diversifies its investments by allocating up to 30% of its portfolio to a variety of stocks from OECD countries, including large, medium, and small-cap companies, while ensuring that non-euro exposures and currency risks remain within this limit. The remaining 70% is invested in high-quality fixed income assets, specifically Spanish government bonds and bills, as well as large-cap investment-grade corporate bonds with maturities both below and above three years. This balanced approach aims to achieve steady returns through a mix of equities and secure fixed income investments.