Submitted by Lisa on Fri, 08/04/2017 - 15:10
English
LUX-PORTFOLIO GLOBAL FLEXIBLE
The objective of this sub-fund is to enable growth in capital and provide stable income over the medium and long term, while pursuing an asset allocation strategy that lets managers adjust (0-100% of the net assets) the weighting of the sub-fund’s various asset classes (shares, bonds and money market instruments) flexibly, either through direct investment or through the use of derivatives in order to reach the desired allocation for the portfolio.
The LUX-PORTFOLIO GLOBAL FLEXIBLE sub-fund is especially well suited to investors looking to benefit from bond market stability combined with stock market performance. The investment horizon is the medium or even long term, given that capital losses can occur due to market fluctuations.