The tax treatment depends on the personal circumstances of the respective customer and may be subject to change in the future. Additional explanations of terms can be found in our glossary. Information on advertised ESG features can be found here. Awards and years of experience do not guarantee investment success. You can find references to the awards here.
Fund Manager
Performance in % since inception
Price since inception
Rolling Performance over 10 Years in %
Performance in %
Opportunities & Risks
Top Ten Stocks in % of Fund Volume
Top Ten Bonds in % of Fund Volume
Currency Exposure (% NAV)
Country allocation total portfolio (% NAV)
Top 10 Sectors in % of Fund Volume
Asset Allocation in % of Fund Volume
Investment Approach
Opportunities
The balanced fund aims for a steady positive performance with low volatility in all market environments.
Possible share price gains are complemented by interest income from international bonds and dividend distributions.
Regular returns from interest and dividends can serve as a buffer in the event of stock market slumps.
The portfolio is continuously adjusted to the changing market environments.
Risks
Income from interest and dividends is not guaranteed.
Bonds are subject to price risks in the event of rising interest rates.
Bonds are also subject to country risks and the credit and liquidity risks of their issuers.
Share prices can fluctuate significantly due to market, currency and individual value factors.
In the case of securities not denominated in euros, there is a currency risk for euro investors.
The Fund is Suitable for Investors
who want to take advantage of opportunities in both the equity and bond markets
Not all funds are authorized for public distribution for all investor types and countries. Please select the appropriate investor profile and country so that we can show you the relevant information.