The Investment Objective of the Sub-Fund is to achieve mid-term capital appreciation. The Sub-Fund seeks to accomplish this objective through investing primarily in equity and fixed income mainly issued in OECD countries. The Sub-Fund is managed by way of maximization of the risk-performance factor. The portfolio allocation is made on the basis of macroeconomic and microeconomic environment indicators following which investment opportunities are identified.
Información sobre el fondo de inversión Incometric Global Dynamic
Entre los fondos de la categoría Mixtos Flexibles EUR - Global