Investment policy
Focal objective of Strategie I is the preservation of assets following inflation, taxes and costs. The long-term aim is a value performance at 1.5 percentage points over the rate of German inflation per annum. Investments are made worldwide in various assets categories, such as bonds, equities and commodities. Rigorous risk management, a flexible allocation of total assets across various asset classes and the delegation of special investment areas to appropriately specialised managers are the measures implemented in order to achieve an attractive risk/return profile.
Perfomance *
General information
| ISIN: | LU0347274069 |
| NAV: | 111.66 EUR |
| Fund volume: | 72,084,502 EUR |
| SRRI: | 3 |
Perfomance *
| 1 month: | -1.85 % |
| 1 year: | 2.51 % |
| 3 years: | 3.80 % |
| 5 years: | 11.66 % |
| since issue: | 11.66 % |
| Annual performance: |
Top holdings
Asset allocation
We also point out that past performance is not a reliable indicator of future performance. Investment funds are subject to market-related price fluctuations that can result in the loss, even total loss, of the capital invested. You are expressly advised to consult the risk notices contained in the detailed sales prospectus.