VV-Strategie LBBW Ausgewogen T4 Acc header image

VV-Strategie LBBW Ausgewogen T4 Acc

Fund

ISIN LU0406299981 / Valor 1690032

NAV (2026-07-24)
EUR 147.87+0.37%

VV-Strategie LBBW Ausgewogen T4 Acc
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VV-Strategie – LBBW Ausgewogen is an actively managed fund aimed at delivering long-term above-average growth in euros. The fund's portfolio includes a diverse mix of assets such as stocks and stock-like securities, fixed and variable interest bonds, zero-coupon bonds, money market instruments, convertible bonds, shares in open UCITS-compliant investment funds, debentures, option bonds with securities warrants, and certificates. At least 25% of its assets are invested in equity participations, and the fund maintains a balanced approach by typically limiting direct investments in stocks or stock-like securities to no more than 50% of its total assets. Additionally, the fund utilizes derivative transactions to manage risk and seek enhanced returns.

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OTHER SHARE CLASSES OF THIS FUND

VV-Strategie LBBW Ausgewogen T3 Acc
VV-Strategie LBBW Ausgewogen T3 Acc VV-Strategie LBBW Ausgewogen T3 Acc Valor: 3728550
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Annual Return

-50%0%+50%

Risk level

110
0.37%EUR 1,424.47
VV-Strategie LBBW Ausgewogen T5 Inc
VV-Strategie LBBW Ausgewogen T5 Inc VV-Strategie LBBW Ausgewogen T5 Inc Valor: 1690504
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Annual Return

-50%0%+50%

Risk level

110
0.37%EUR 155.88
VV-Strategie LBBW Ausgewogen T2 Acc
VV-Strategie LBBW Ausgewogen T2 Acc VV-Strategie LBBW Ausgewogen T2 Acc Valor: 3728548
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Annual Return

-50%0%+50%

Risk level

110
0.37%EUR 1,378.64
VV-Strategie LBBW Ausgewogen T1 Acc
VV-Strategie LBBW Ausgewogen T1 Acc VV-Strategie LBBW Ausgewogen T1 Acc Valor: 3728536
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Annual Return

-50%0%+50%

Risk level

110
0.37%EUR 1,334.20
VV-Strategie LBBW Ausgewogen T6
VV-Strategie LBBW Ausgewogen T6 VV-Strategie LBBW Ausgewogen T6 Valor: 1690595
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Annual Return

-50%0%+50%

Risk level

110
0.38%EUR 153.87