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Kutxabank Gestion Activa Patrimonio Estandar, FI

Objective

The Fund invests more than 50% of its assets in other funds, which are qualifying assets, harmonized or not, belonging or not to the Management Group (majority of the Management Group). It invests between 65% and 100% of the total exposure in fixed income, including deposits and money market instruments, whether quoted or not, which are liquid. The rest of the total exposure it invests directly or indirectly through other funds, in equity assets. There is no predetermination with respect to issuers, countries or markets, currency risk, average duration of the portfolio, market capitalization, the economic sector.

This fund is not currently tracked by Citywire in Singapore View performance globally

Registered For Sale In

  1. Spain