Gemischte Fonds • Gemischte Fonds International Multiasset

Anlageschwerpunkt Multi Solutions - Pictet Multi Asset Opportunities - B EUR ACC

WKN
ISIN
KVG
Pictet Asset Management (Europe) S.A.
ISIN

KVG
105,710 EUR
+0,110 EUR+0,10 %
Geld
105,710 EUR
Brief
105,710 EUR
Werbung von onvista cashback
Jetzt Cashback für diesen Fonds berechnen!
Wir holen für dich die Verwaltungs­vergütungen beim Fonds­sparen zurück und zahlen dir die Bestands­provisionen, auch für bereits gekaufte Fonds, aus.

Fondsvolumen
128,33 Mio. EUR
Ausgabeaufschlag
5,00 %
Laufende Kosten
Morningstar-Rating
Ertrags­ver­wendung
Thesaurierend
Morningstar ESG-Rating

Zusammensetzung nach Land

Global
Stand:
  • Global (100,0 %)

Top Holdings zu Multi Solutions - Pictet Multi Asset Opportunities - B EUR ACC

Hier stehen normalerweise die Top Holdings des Fonds Multi Solutions - Pictet Multi Asset Opportunities - B EUR ACC. Aktuell liegen sie uns für diesenFonds nicht vor. Solltest du Interesse an den Top Holdings haben, informiere uns bitte über unser Kontaktformular. Wir prüfen gerne, ob wir diese Daten erhalten können.
Stand:

Fondsstrategie zu Multi Solutions - Pictet Multi Asset Opportunities - B EUR ACC

To increase the value of your investment. The Compartment mainly invests in a broad range of bonds, including convertible bonds, money market instruments, equities and deposits. The Compartment may invest in Mainland China and in emerging markets. The Compartment invests worldwide, and can invest across any sector, currency and credit quality. The Compartment may gain exposure to portfolio assets by investing in other funds, which may incur a duplication of certain fees. In actively managing the Compartment, the investment manager uses a risk-managed approach to seek additional performance opportunities, and pursues a flexible asset allocation strategy with a bias towards companies with superior ESG characteristics. It also excludes or significantly restricts direct investments in issuers that are deemed harmful to society or the environment such as tobacco, weapons and fossil fuels, or are in severe breach of international norms on human rights and other matters such as labour standards and environmental protection. It methodically exercises voting rights and may engage with issuers in order to positively influence ESG practices. The portfolio composition is not constrained relative to the benchmark, so the similarity of the Compartment's performance to that of the benchmark may vary.