Swiss Life Funds (LUX) Multi Asset Growth

  • Fund
  • Multi Asset
  • Global
  • ESG Product

Product details

LU1749126535 - M
(EUR) | Capitalisation
Performance
Since 1 Year
+3.75%
No data available for this time period.
Data updated on 31 March 2025

Strategy

The sub-fund invests in multiple asset classes in all geographic regions with a dynamic investor profile. Allocation between asset classes (Fixed income, Equities…) and geographic areas is done on a monthly basis using a combination of quantitative investment models.

Management commentary

The fund performed slightly negatively in April due to elevated market volatility. It is in line with its reference index. On the equity side, our positive view did not pay off as markets ended the month in negative territory. We reduced our exposure during the month. Diversification into emerging market equities, defensive and alternative strategies contributed positively. Interest rates, particularly European rates, played their shock-absorbing role. Therefore, our long duration positioning contributed positively.

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