Smart Gestión Flexible FI
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Smart Gestión Flexible FI invests primarily in a diversified mix of international assets, allocating up to 75% of its portfolio to equities and the remaining portion to public and private fixed income instruments such as deposits and money market tools. The fund maintains flexibility in selecting issuers without predefined limits on factors like market capitalization, credit ratings, sectors, or geographic regions. While most investments are focused on OECD countries, up to half of the portfolio can be directed toward emerging markets. Additionally, the fund may allocate up to 10% of its assets to financial investment institutions, ensuring a versatile and adaptable investment approach.