Open-ended investment fund with placements predominantly in global equity markets such as the United States of America, Europe and Japan. The fund will make investments mainly through tradable ETF-type UCITS.
The fund promotes environmental and social characteristics and considers that the issuers in which it invests directly or indirectly follow good governance practices.
The fund's strategic allocation is 90% in equities or ETFs with exposure to global equity markets and 10% in other assets such as deposits and fixed income financial instruments. Through the investments made, the fund aims to offer clients high liquidity and diversification.
The performance of the Fund may be influenced by the negative performance of one or more financial markets in which the Fund invests. In this sense, there is no form of guarantee for the investments made by investors.
You can choose this fund if you want to invest in the international capital markets for the long term. If you want a diversified portfolio of shares listed in the United States, Europe, Japan as well as other markets then this fund may be for you. Given the profile of the fund, it suits you if you have a long-term investment horizon and are willing to accept a high degree of risk. You can invest in this fund in RON, EUR and USD currencies.
ISIN Class RON: ROFDIN0001E7
ISIN Class EUR: ROQDDMSGKS66
ISIN Class USD: ROP5L22AK6R8
Decizie autorizare ASF: 453/30.03.2010
Registru ASF: CSC06FDIR/400065/30.03.2010
GIIN: YCEN9M.00007.SF.642
LEI: 5493004713YDSTEKZF64
Past performance is no guarantee of future results. Returns may rise or fall due to exchange rate fluctuations.