Robust Renta Variable Mixta Internacional FI
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Robust RV Mixta Internacional FI invests primarily in international stocks and high-quality bonds. Up to 75% of the portfolio is allocated to equities from OECD countries, especially those in the Eurozone and the United States, without restrictions on company size or industry. The remaining portion is dedicated to fixed-income securities, focusing mainly on bonds with strong credit ratings, while allowing a small percentage for medium-rated or unrated bonds to enhance returns. Additionally, the fund includes a limited exposure to emerging markets in regions like Eastern Europe, Latin America, and Asia. This balanced approach aims to provide growth through diversified global investments while maintaining stability with reliable fixed-income assets.