MORA MULTI-ASSET FUND - MODERATE A

Liquidation value 9.00 €
ISIN: AD000A2DLF45 + 2.07%
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Summary

Risk Profile

Less risk implies less performance potential, increasing risk also increases performance potential.

This data is indicative of the risk risk and can vary over time. It is calculated based on simulated data that, however, may not constitute a reliable indication of the future risk profile of the background.

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Less risk Greater risk

Commercial record Complete prospect Simplified Prospect Regulation Quarterly report

The Mora Multi-Asset Fund FI - Moderate aims to achieve the highest possible returns by adapting to market conditions and limiting risk. The objective is an annual volatility range of 2-5%. The fund will invest both directly and indirectly in equity and/or fixed income assets, listed derivatives, and suitable CIS. Different strategies will be used, combining fundamental and technical analysis and views.