DWS Eurozone Bonds Flexible
The investment fund’s investment objective is to achieve a high and consistent return in euro, in combination with a reasonable annual distribution of income. At least 51% of the investment fund’s assets must be invested in fixed-rate and/or floating-rate securities of issuers from the euro zone. Up to 25% of the investment fund’s assets may be invested in convertible and warrant linked bonds. Up to 10% of the investment fund’s assets may be invested in equities and other equity securities. The Company acquires equities and other equity securities only through the exercise of conversion and subscription rights, and then only if the requirements pursuant to article 5 of the General Terms of Contract are met.
Exposición por asset allocation