Equity ESG Europe Conservative
- Fund
- Equity
- Europe
- ESG Product
Product details
NAV Price
Current
Relative Performance
Since 1 Year
Evolution in reference currency (base value 100)
- 1 Current
- 2 Ref. Index
Past performance is no indication of current or future performance. Fees and commissions incurred at fund level are included in the performance indicated. However, the performance data do not take account of the commissions and costs incurred on the subscription and redemption of units or shares.
Strategy
The fund invests in equities from EU countries, the UK, Switzerland, and Norway, mainly large and medium-sized companies with no sector constraints. The objective is to construct and manage a portfolio with lower volatility risk than its investment universe. Securities are selected to combine stocks with lower ex-ante volatility risk, considering the initial universe and market conditions.
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