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The fund is a mixed fund. Its objective is aimed primarily at maximising capital appreciation, with a focus on a balanced investment portfolio and capital preservation. The Sub-Fund’s assets are primarily invested in equity and bond funds, which may increase and decrease in value depending on the prevailing market situation. It primarily focuses on the economic growth trends within the Euro zone. The Sub-Fund may also acquire shares in mixed investment funds and money market funds, as well as a range of open-ended commodity funds and funds investing in certificates and, provided these are deemed valid securities, certificates. Depending on the prevailing market situation, the Sub-Fund may also invest all of its assets in one of the above types of funds.
Name | Title | Since | Until |
---|---|---|---|
Gregor Radnikow | - | 2021 | Now |
Stefano Perin | - | 2020 | 2021 |
Fabrizio Viola | - | 2020 | 2021 |
Biography | CFA Charterholder. MBA in International Business. In Generali Investments since 2002 working within the corporate bond and structured credit department. Portfolio manager across various portfolio types, including life accounts, pension funds, third party segregated managed accounts and Sicav platforms. | ||
Gregor Radnikov | - | 1999 | 2020 |
Jorg Vennemann | - | 1999 | 2019 |
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