YOU INVEST solid EUR offers investors a conservative mix of different asset classes. Choose it only , those who do not want to risk too much. As a result, the expected growth in net asset value is comparatively lower. The focus is on price stability. Our experts continuously monitor the portfolio and optimise it in accordance with the opportunities on the market. The fund management is implemented on the basis of a traceable and structured investment process.
The fund has an average investing dynamic assets (equity instruments, corporate and high-yield bonds) of about 10%. The maximum percentage of assets in the portfolio can be up to 20%. The risk is actively managed. The recommended investment horizon is 3 years or more.
Bandwidth asset classes
The share of different asset classes in a portfolio changes. The permitted range for each asset class was chosen with regard to the risk profile of clients. The goal is to achieve the maximum return with the lowest risk.