Robeco ONE Neutraal aims to grow capital over the long term by investing globally in a balanced mix of stocks, bonds, and cash. The portfolio includes a significant portion of higher-risk equity funds for growth potential and a substantial amount of lower-risk bond funds for stability. This flexible allocation allows the fund to adjust investments between equities and bonds to maintain its desired risk level. Additionally, Robeco ONE Neutraal incorporates environmental, social, and governance (ESG) factors into its investment decisions, ensuring that sustainability is a core part of its strategy.