Incometric Fund Abando Total Return A
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Incometric Abando Total Return aims for midterm growth by primarily investing in a diverse mix of stocks and bonds from OECD countries. The portfolio includes various equities such as ordinary and preferred shares and convertible bonds, as well as fixed-income instruments like government, corporate, fixed-rate, floating, and zero-coupon bonds. Up to 30% of the assets are allocated to UCIs/UCITS and ETFs, and the fund also invests in money market instruments and deposits from the Eurozone and other regulated international markets. While equities drive most of the returns, the inclusion of different bond types and other assets helps balance risk and enhance overall performance.