Equity ESG Europe Minimum Volatility
- 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 European stocks, mostly large and mid-caps, using a quantitative investment process that aims to define on a monthly basis the investment portfolio with the lowest volatility within the stocks of its universe. Portfolio construction is based on a proprietary optimization model.
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