The Fund’s investment objective is medium-term capital appreciation with low volatility. The Fund seeks to achieve its investment objective by subscribing mainly in Investment Funds managed by Franklin Templeton Investments entities as well as other asset managers, which invest in worldwide debt securities and equities. In order to efficiently manage its portfolio, the Fund may use on an ancillary basis various derivative instruments including index based derivative instruments and credit default swaps.
Rentabilidad a 3 años frente al resto de fondos de la categoría Mixtos Defensivos EUR - Global
- Frente a la categoría
- Frente a la gestora
Entradas y salidas de dinero mensuales.