SparTrust Variabel focuses on long-term wealth growth by investing in a diverse mix of assets such as securities, money market instruments, sight deposits, and other financial products across various regions, industries, and sectors without restrictions on ratings or issuers. The fund manager actively adjusts the portfolio based on current market conditions, includes investments in foreign currencies, and employs derivatives for both protection and strategic purposes. Additionally, the fund holds government-issued or guaranteed securities from countries like Austria, Belgium, Germany, Finland, France, the Netherlands, the European Financial Stability Facility, and the USA, ensuring that no single issuance exceeds 30% of the fund’s assets and maintaining diversification across multiple investments.