Unifond Rentabilidad Objetivo 2025-IX FI
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Unifond Rentabilidad Objetivo 2025-IX FI primarily invests in fixed-income securities and liquid assets to ensure the stability and preservation of its value. Additionally, it allocates a small portion to over-the-counter instruments to pursue potential variable returns. The fund also holds shares from diverse sectors, specifically including Santander, Iberdrola, and Telefónica, which are evaluated annually based on their performance to contribute to the fund’s overall returns. This balanced portfolio is designed to secure the initial investment while aiming for growth through its diversified equity holdings.