The Sub-Fund follows a clearly defined strategy for the placement of assets based on controlling the portfolio’s risk from annual volatility. Purchase and sale decisions are based upon directional quantitative systems over the medium term. The investment of assets is adjusted to the prevailing market conditions and has the objective of not exceeding a mean annual volatility of 10%. This objective does not constitute a guarantee of any sort that the mean annual volatility will never exceed 10%.
Información sobre el fondo de inversión EdRF QUAM 10
El fondo EdRF QUAM 10, con ISIN, LU1005539611 de la gestora EDMOND DE ROTHSCHILD AM pertenece a la categoría Mixtos Flexibles EUR - Global dentro de los fondos de Mixtos Flexibles