GSF VorsorgeStrategie aims for long-term growth by investing in a diverse mix of global stocks, government bonds, and ETFs alongside cash and money market instruments. The portfolio is structured to include both higher-risk assets like equities and bonds and lower-risk assets such as cash equivalents. At least half of the fund’s investments prioritize companies and funds that meet environmental, social, and governance (ESG) standards, ensuring that the selections align with responsible investment practices.