Diversified fund of funds that seeks to maximise portfolio valuation through an active asset allocation policy. To this end, the portfolio’s breakdown between the various asset classes and UCITS categories (equities, diversified, bonds, money market, etc.) varies in line with the fund manager’s expectations. In order to minimise the risks of capital fluctuation, the fund can be invested and/or exposed up to 75% maximum in global equity UCITS.
This fund does not take ESG criteria into account.