VV-Strategie - BW-Bank D-A-CH T2 EUR Inc
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VV-Strategie - BW-Bank D-A-CH is an actively managed fund focused on achieving long-term above-average growth in euros by primarily investing in a diverse mix of equities and equity-like securities. The fund’s portfolio includes individual stocks, UCITS-compliant equity and index funds, mixed funds, and certificates tied to stocks and indices. Additionally, it holds various types of bonds such as fixed and variable-rate bonds, zero-coupon bonds, debentures, convertible bonds, and option bonds, as well as shares in other open UCITS-compliant investment funds. With at least 51% of its assets allocated to equity investments, the fund also employs derivatives to enhance returns or manage risks.