LöwenPlus Chance seeks to achieve long-term capital growth by primarily investing in sustainable equities, allocating between 61% and 100% of its portfolio to stocks. It also includes bonds and cash or cash equivalents, each ranging from 0% to 39%, depending on market conditions. The fund actively selects investments based on thorough evaluations of company financial health, business models, product quality, and the attractiveness of their respective markets and industries. By focusing on sustainability and strong economic fundamentals, LöwenPlus Chance builds a diversified and actively managed portfolio aimed at maximizing growth over time.