DB PWM II Active Asset Allocation Core EUR
The fund's objective is the preservation of capital, the maintenance of purchasing power and the consistent real growth of wealth. The Sub-Fund seeks to maintain a generally well diversified asset mix. This target is without guarantee or capital protection so that the Sub-Fund may result in a negative or lesser than expected performance. A medium to high equity exposure, combined with medium to lower fixed income exposure will produce moderate to high volatility for the Sub-Fund.
Entradas y salidas de dinero mensuales.