WEALTHGATE Multi Asset Chance - P header image

WEALTHGATE Multi Asset Chance - P

Fund

ISIN DE000A2PE1D2 / Valor null

NAV (2026-07-17)
EUR 110.44+0.38%

WEALTHGATE Multi Asset Chance - P
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WEALTHGATE Multi Asset Chance aims to achieve superior growth with lower volatility by actively managing a concentrated portfolio of global stocks. The fund uses a fully digital selection process that leverages data and text mining to evaluate various factors and metrics, identifying stocks with strong short-term growth potential. By holding positions for only short periods, the fund seeks to capitalize on positive market trends while minimizing the effects of long-term downturns. This science-driven, dynamic approach allows WEALTHGATE Multi Asset Chance to adapt its holdings within a worldwide equity universe to optimize returns.

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OTHER SHARE CLASSES OF THIS FUND

WEALTHGATE Multi Asset Chance - I
WEALTHGATE Multi Asset Chance - I WEALTHGATE Multi Asset Chance - I
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Annual Return

-50%0%+50%

Risk level

110
0.37%EUR 112.97