Nippon Portfolio (EUR)
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Nippon Portfolio is an equity fund primarily focused on Japanese stocks, allocating at least 70% of its assets to this market. In addition to Japanese equities, the fund invests up to 10% in other investment funds, 30% in money market instruments, and up to 25% in short-term deposits with maturities of no more than 12 months. The portfolio maintains a diversified approach across various sectors without targeting specific industries, and it may use derivatives as part of its investment strategy to manage risk and enhance returns. This structure allows Nippon Portfolio to pursue significant long-term capital growth while balancing different asset classes.
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OTHER SHARE CLASSES OF THIS FUND
Nippon Portfolio A
Nippon Portfolio A
Nippon Portfolio A
Valor: 346429
Annual Return
-50%0%+50%
Risk level
110
0.79%JPY 338,900.00
Nippon Portfolio (Ausland) A
Nippon Portfolio (Ausland) A
Nippon Portfolio (Ausland) A
Valor: 28880641