Equity ESG Europe Conservative
- Fund
- Equity
- Europe
- ESG Product
Product details
NAV Price
Current
Performance
Since 1 Year
Data updated on 30 May 2025
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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