Jyske Invest Balanced Strategy EUR CL
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Jyske Invest Balanced Strategy CL maintains a globally diversified portfolio with 30% to 60% allocated to equities from a wide range of regions, countries, and sectors. The remaining portion is invested in bonds issued by governments, international organizations, mortgage-credit institutions, and corporations, including those from emerging markets. Additionally, the fund includes investments in emerging market equities and ensures that at least 75% of its assets are held in euro-denominated or euro-hedged securities. Only up to 10% of the portfolio is invested in approved other markets or unlisted instruments, providing a balanced and varied investment approach.
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bondsmsci world indexglobal equityj.p. morgan gbi global indexj.p. morgan embi global diversified indexice bofaml european currency high yield constrained indexice bofaml us high yield constrained index