Sustainable profit with strategy portfolios
Strategy Portfolio Asset Management 60 – Reference Currency EUR
Active management strategy with allocation of 60% equities and 40% bonds. Individual investments worldwide in bonds and equities of large and medium-sized companies and issuers that meet the strict ethical criteria we set. Derivatives are not used.
Asset classes
as per 31.10.2024
Ethics Ratings
as per 31.10.2024
Portfolio development
Investment performance vs. benchmark index*
as per 31.10.2024
Portfolio | Benchmark index | |
---|---|---|
YTD | 10,4% | 8,1% |
2022 | 10,9% | 13,9% |
2021 | -12,1% | -13,5% |
2020 | 19,6% | 13,7% |
2019 | 2,7% | 3,2% |
Portfolio | Benchmark index | |
---|---|---|
10.2023 – 10.2024 | 19,1% | 17,3% |
10.2022 – 10.2023 | 2,3% | 4,5% |
10.2021 – 10.2022 | -8,8% | -11,6% |
10.2020- 10.2021 | 22,9% | 20,9% |
10.2019 – 10.2020 | -0,8% | -3,2% |
*Vergleichsindex: 30% Equities Europe, 20% Equities World, 50% Bonds Euro
Disclaimer:
Past performance is not a reliable indicator of future performance. The value of this investment and the income from it may fluctuate. The investor may not get back his invested capital. All return and risk figures before costs and taxes; as a rule, the result is reduced by all-in fees (transaction, custody, administration costs) on the assets under management in the amount of max. 1,50% p.a.