UniStrategie: Konservativ
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UniStrategie: Konservativ aims for steady returns and long-term growth by investing at least 51% of its assets in various target funds, with around 75% of the total portfolio focused on bond funds. The remaining investments are placed in securities, money market instruments, bank deposits, and derivatives for both investing and managing risks. Additionally, between 10% and 40% of the fund includes equities, either through target funds that hold a significant portion of stocks or through directly held shares. This diversified mix balances fixed-income investments with some exposure to the stock market to achieve its financial goals.