The objective of the sub-fund is to achieve reasonable growth in the sub-fund currency while taking into consideration the risk involved for the investors and sustainability principles. The investment strategy is defined based on fundamental analyses of the global financial markets. The criteria used to select investments are value, the risk-return ratio and sustainability. The sub-fund is actively managed. The fund manager chooses, regularly reviews and, if necessary, adjusts the composition of the portfolio in accordance with the criteria specified in the investment policy. No index is used for comparison purposes.

Rendimento annuo 1 anno 3 anni 5 anni Inizio 2024 2023 2022 2021 2020
Rendimento annuo: Fondo 1 anno: - 3 anni: - 5 anni: - Inizio: - 2024: - 2023: 7,41 2022: -9,19 2021: 6,07 2020: 1,01
Rendimento annuo: Categoria 1 anno: 10,24 3 anni: 0,63 5 anni: 1,61 Inizio: - 2024: 7,27 2023: 6,34 2022: -10,93 2021: 3,85 2020: 1,53
Rendimento annuo: Percentile 1 anno: 23,00 3 anni: 12,00 5 anni: 14,00 Inizio:- 2024: 16,00 2023: 31,00 2022: 30,00 2021: 20,00 2020: 61,00
Rischio Volatilità Sharpe Ratio Correlazione Beta Alfa Tracking error Info Ratio
Rischio: 3 anni 1 Volatilità: 5,03 3 Sharpe Ratio: 0,03 5 Correlazione: 88,55 Beta: 0,67 Alfa: 1,64 Tracking error: 3,05 Info Ratio: 0,81
Fonte: Morningstar. Dati in euros. Categoria: EUR Cautious Allocation - Global. Data: 2024-12-03
Fonte: Morningstar. Dati in euros. Categoria: EUR Cautious Allocation - Global. Data: 2024-12-03