Laboral Kutxa Selek Plus FI
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Laboral Kutxa Selek Plus FI invests in a balanced portfolio of international equities and fixed income instruments. Specifically, the portfolio includes 30% in the MSCI World index, 30% in European government bonds with maturities of 3-5 years, 25% in global large-cap corporate bonds, 10% in global high-yield bonds, and 5% in short-term money market instruments like Eonia. Additionally, the fund allocates between 50% and 100% of its assets to various financial investment companies, with up to 75% exposed to equities across all market capitalizations and sectors, and the remaining portion invested in high-quality public and private fixed income securities. This diversified approach aims to achieve a stable and diversified investment strategy.