The Fund aims to achieve the highest possible growth and outperform a specific benchmark by investing in a diversified portfolio of UCITS, UCI, and ETFs with exposure to equity, bond, multi-asset, and alternative asset classes.
Fund Exposure
The Fund will invest in a variety of asset classes, including equity securities listed on stock exchanges, bonds, multi-asset strategies, and alternative asset classes such as precious metals or commodities. It will also focus on investments that promote ESG characteristics in line with SFDR regulations.
Risks
Some of the risks associated with this Fund include market risk, credit risk, liquidity risk, and the potential impact of changes in ESG characteristics of the underlying investments. Additionally, the use of financial derivative instruments and securities lending techniques may introduce additional risks to the Fund.