The investment policy aims to generate long term capital growth through investments in a broad range of asset classes, in particular in the global equity markets and European bondand money markets. Overall, the goal is to achieve over the medium-term a performance comparable to a balanced portfolio consisting of 75% global equity markets and 25% medium-term Euro bond markets. The fund management will specify a weighting of investments in bond-, money- or equitymarket oriented positions, based on an active asset allocation
approach with volatility as a key input factor. In times of high volatility, the equity market oriented portion will be reduced. In times of low volatility, the equity market oriented portion will be increased.
Información sobre el fondo de inversión Allianz Dynamic Multi Asset Strategy 75
El fondo Allianz Dynamic Multi Asset Strategy 75, con ISIN, LU1594335520 de la gestora ALLIANZ GLOBAL INVESTORS pertenece a la categoría Mixtos Agresivos EUR - Global dentro de los fondos de Mixtos Agresivos