PremiumMandat Dynamik C EUR header image

PremiumMandat Dynamik C EUR

Fund

ISIN LU0268210969 / Valor 2857152

NAV (2026-09-09)
EUR 227.79-0.47%

PremiumMandat Dynamik C EUR
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PremiumMandat Dynamik strives for long-term, above-average returns by primarily investing 75% in international stocks and 25% in Euro-denominated medium-term bonds. The fund's portfolio includes direct investments and derivatives linked to other funds, individual stocks, high-quality interest-bearing securities, certificates based on financial and hedge fund indices, as well as bank deposits and money market instruments. At least 40% of the assets are allocated to growth-focused and higher-risk investments like equities or equity funds, and up to 30% can be invested in securities issued by companies in emerging markets. Additionally, the fund limits its foreign currency exposure to no more than 25% of its total assets.

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OTHER SHARE CLASSES OF THIS FUND

PremiumMandat Dynamik CT EUR
PremiumMandat Dynamik CT EUR PremiumMandat Dynamik CT EUR Valor: 11982766
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Annual Return

-50%0%+50%

Risk level

110
-0.47%EUR 159.37