WWK Select Balance konservativ D header image

WWK Select Balance konservativ D

Fund

ISIN LU2646640552 / Valor null

NAV (2026-07-09)
EUR 12.80-0.54%

WWK Select Balance konservativ D
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WWK Select Balance konservativ aims to balance risk and return by diversifying its investments across various asset types. The fund primarily holds shares from equity funds, bonds, commodity-related stocks, and money market-like funds, including ETFs. Up to 35% of its assets are allocated to equities and commodity stocks, with commodity stocks capped at 15%. It invests globally, focusing on regions such as Europe, North America, Asia, and the Pacific. Additionally, the fund may use derivatives to manage risks and enhance potential returns, with all earnings reinvested to grow the value of its shares.

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OTHER SHARE CLASSES OF THIS FUND

WWK Select Balance konservativ B
WWK Select Balance konservativ B WWK Select Balance konservativ B
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Annual Return

-50%0%+50%

Risk level

110
0.08%EUR 13.01