New Millennium - Multi Asset Opportunity A
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New Millennium Multi Asset Opportunity aims for long-term growth by investing in a diverse global portfolio that includes stocks, various types of bonds, money market instruments, UCITS or UCIs, and commodities. At least half of the investments are concentrated in European issuers, with up to 49% allocated to UCITS or UCIs and up to 40% in equities and commodities using tools like ETFs and CFDs. The fund also includes a portion of higher-risk and non-rated bonds to enhance potential returns, ensuring broad diversification across different asset classes, sectors, and regions.
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Tags:
msci ac worldmsci europeglobal diversificationbalanced portfolio
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OTHER SHARE CLASSES OF THIS FUND
New Millennium - Multi Asset Opportunity L
New Millennium - Multi Asset Opportunity L
New Millennium - Multi Asset Opportunity L
Annual Return
-50%0%+50%
Risk level
110
0.12%EUR 122.45
New Millennium - Multi Asset Opportunity I
New Millennium - Multi Asset Opportunity I
New Millennium - Multi Asset Opportunity I