Intermoney Variable Euro I FI
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Intermoney Variable Euro FI is an investment fund that dedicates over 75% of its portfolio to stocks, ensuring at least 60% are from companies within the eurozone and up to 10% from emerging markets. The remaining equity investments are focused on firms from other OECD countries across different sizes with potential for growth. Additionally, the fund allocates up to 25% to public and private fixed income securities from OECD member nations, maintaining at least medium credit quality. The overall strategy aims to achieve returns comparable to the EuroStoxx 50 index.
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Intermoney Variable Euro A FI
Intermoney Variable Euro A FI
Intermoney Variable Euro A FI
Annual Return
-50%0%+50%
Risk level
110
-0.46%EUR 244.34
Intermoney Variable Euro E FI
Intermoney Variable Euro E FI
Intermoney Variable Euro E FI