March Flexible Max 30 B FI
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March Flexible Max 30 FI is a mixed international fixed income fund that diversifies its portfolio across several asset classes. Approximately 80% of the fund is invested in fixed income securities linked to the Barclays EuroAgg 3-5 Total Return index, ensuring a solid foundation in bonds from OECD countries. Up to 30% of the portfolio is allocated to equities, including European stocks via the Stoxx 600 Europe index, U.S. stocks through the S&P 500 Index, Japanese stocks with the TOPIX 100, and emerging market equities represented by the MSCI Emerging Markets index. The remaining portion of the fund is maintained in liquid assets such as cash and short-term instruments to provide flexibility and liquidity.
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OTHER SHARE CLASSES OF THIS FUND
March Flexible Max 30 L FI
March Flexible Max 30 L FI
March Flexible Max 30 L FI
Annual Return
-50%0%+50%
Risk level
110
0.05%EUR 9.37
March Flexible Max 30 A FI
March Flexible Max 30 A FI
March Flexible Max 30 A FI