Mistral Strategic Fund – EUR
The Mistral Strategic Fund is suitable for investors with a medium- to long-term investment approach. It is characterized by a balanced portfolio of global equities and fixed-income investments. The fund is based on EUR.
Strategy in a word: Based on our value approach experience, we developed this product characterized by a more active and market driven approach. The fund is balanced between equities and bonds, including convertible bonds, from around the world. The bond proportion is intended to offset the risks contained in the equities, while still allowing for the benefits that equities offer in terms of returns. This enables the fund to combine the objectives of capital preservation and capital appreciation.
Objective: Medium- to long-term capital appreciation
Role in the portfolio: Addition to an existing portfolio