NEF Ethical Balanced Conservative I
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NEF Ethical Balanced Conservative is designed to grow capital by investing in a balanced mix of bonds and stocks with a strong focus on environmental, social, and governance (ESG) principles. The portfolio is actively managed and primarily includes global government bonds, Eurozone government bonds, and Euro corporate bonds, making up the majority of the investments. Additionally, it invests in equities from developed markets and the Eurozone, using indices like the MSCI World and MSCI EMU to guide its stock selections. This approach ensures a diversified and ethically aligned investment strategy aimed at long-term growth.
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esgbondsmsci world indexmsci emu indexice bofaml euro corporate indexice bofaml 1-10 year global government indexice bofaml 1-5 year euro government index
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OTHER SHARE CLASSES OF THIS FUND
NEF Ethical Balanced Conservative R
NEF Ethical Balanced Conservative R
NEF Ethical Balanced Conservative R
Annual Return
-50%0%+50%
Risk level
110
0.35%EUR 11.40
NEF Ethical Balanced Conservative D
NEF Ethical Balanced Conservative D
NEF Ethical Balanced Conservative D
Annual Return
-50%0%+50%
Risk level
110
0.41%EUR 9.84
NEF Ethical Balanced Conservative C Acc
NEF Ethical Balanced Conservative C Acc
NEF Ethical Balanced Conservative C Acc