GS&P Fonds - UmweltSpektrum Mix C header image

GS&P Fonds - UmweltSpektrum Mix C

Fund

ISIN LU2420728045 / Valor 11568021

NAV (2025-02-14)
EUR 1,032.85+1.88%

GS&P Fonds - UmweltSpektrum Mix C
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General Objective

The main objective of the GS&P – UmweltSpektrum Mix fund is to achieve a reasonable increase in value in the fund's currency while investing in sustainable assets. The fund is actively managed, with the portfolio composition based on defined criteria related to investment objectives and policies.

Fund Exposure

The fund has the flexibility to invest in a variety of asset classes, including equities, bonds, money market instruments, certificates, and other structured products. The focus of the investments is primarily on Europe, with the possibility of exposure to different types of securities such as stocks, bonds, investment fund shares, financial indices, and currencies.

Risks

Investors should be aware that the fund's investments are subject to market fluctuations and risks associated with different asset classes. Additionally, the fund may face risks related to sustainability factors and the achievement of the Sustainable Development Goals set by the United Nations. It is important for investors to carefully consider these risks before investing in the fund.

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Source

https://www.gs.de/

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OTHER SHARE CLASSES OF THIS FUND

GS&P Fonds - UmweltSpektrum Mix B
GS&P Fonds - UmweltSpektrum Mix B GS&P Fonds - UmweltSpektrum Mix B Valor: 51226161
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Annual Return

-50%0%+50%

Risk level

110
1.88%EUR 55.29
GS&P Fonds - UmweltSpektrum Mix A
GS&P Fonds - UmweltSpektrum Mix A GS&P Fonds - UmweltSpektrum Mix A Valor: 51225768
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
1.89%EUR 53.26