Nordea 1 - GBP Diversified Return Fund BI GBP
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General Objective
The fund aims to provide shareholders with investment growth, relatively stable income, and capital preservation over a 3-year investment horizon.
Fund Exposure
The fund's portfolio is actively managed with a focus on bonds and equities, taking both long and short positions and actively managing currencies. It invests in equities, debt securities, money market instruments, and other asset classes globally, using derivatives for hedging and efficient portfolio management.
Risks
Investors should be aware that the fund may be exposed to risks associated with the use of derivatives, currency fluctuations, and market volatility. Additionally, the fund's active management approach may result in potential underperformance compared to its benchmark.