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Raiffeisen-Portfolio-Balanced A

Fund

ISIN AT0000A1GCY1 / Valor null

NAV (2025-11-20)
EUR 128.85-0.13%

Raiffeisen-Portfolio-Balanced A
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Raiffeisen-Portfolio-Balanced aims for moderate capital growth by investing at least half of its assets in carefully selected investment funds, with up to three-quarters allocated to stocks or equity funds. In addition to these funds, it holds government, supranational, and corporate bonds, as well as money market instruments and deposit accounts from major countries such as Germany, France, the USA, and Japan. The fund chooses its underlying investments based on their investment quality, past performance, and risk management practices, ensuring a diversified and well-managed portfolio.

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OTHER SHARE CLASSES OF THIS FUND

Raiffeisen-Portfolio-Balanced T
Raiffeisen-Portfolio-Balanced T Raiffeisen-Portfolio-Balanced T
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
-0.13%EUR 140.98
Raiffeisen-Portfolio-Balanced VT
Raiffeisen-Portfolio-Balanced VT Raiffeisen-Portfolio-Balanced VT
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
-0.13%EUR 147.26
Raiffeisen-Portfolio-Balanced RZ T
Raiffeisen-Portfolio-Balanced RZ T Raiffeisen-Portfolio-Balanced RZ T
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
-0.13%EUR 143.03
Raiffeisen-Portfolio-Balanced RZ A
Raiffeisen-Portfolio-Balanced RZ A Raiffeisen-Portfolio-Balanced RZ A
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
-0.13%EUR 131.80