Prisma Aktiv UI is an actively managed mixed fund focused on achieving high value growth by investing approximately half of its assets in government and corporate bonds with strong risk-return potential. The other half is allocated to a diversified portfolio of European and Asian stocks to spread risk. The fund's management dynamically adjusts these allocations based on the economic environment to preserve capital and reach target returns. Investments are carefully selected through thorough business model analyses using the fund’s proprietary Prisma Quality and Potential Navigator tools, ensuring each stock’s intrinsic value and each bond’s risk profile are well understood.