Swiss Life Flex Funds (CH) Dynamic Allocation (CHF hedged)

  • Fund
  • Multi Asset
  • Global

Product details

CH0149177567 - A
(CHF) | Distribution
Performance
Since 1 Year
-4.49%
No data available for this time period.
Data updated on 28 April 2025

Strategy

This global investment fund aims to profit from positive – and negative equity and bond market - trends. Different equity, bond and commodities markets are permanently monitored to this end. Once a positive trend materialises, the fund invests in it. If negative trends can be identified in the equity or bond markets, they can be exploited by adopting a selling position. The fund follows an absolute return strategy and thus aims for a positive return over the mid- to long term. Please note that the fund may have an equity holding of up to 80% when the equity markets are rising globally and, as a result, may experience significantly higher volatility levels (at least temporarily) than a conservative traditionally managed portfolio fund. Foreign currency risks are at least 90% hedged against the Swiss franc.

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