Società di Gestione
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DWS INVESTMENT
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- Lussemburgo
Politiche di gestione
The sub-fund aims to establish mid to long-term a balanced mix of comparatively lower-risk investments (such as bonds with a good rating and/or liquidity) and higher risk investments (such as equities and/or commodities); in the short to medium term it is possible that investments with either higher or lower risk will be overweighted. The sub-fund is aimed at investors who prefer a mix of lower and higher risk assets in the medium to long term, and are prepared to accept a certain risk of loss for their securities investments. To achieve this, the sub-fund invests in exchange-traded funds (ETFs), exchange-traded commodities (ETCs), equities, bonds, money market instruments and certificates. At least 51% of the sub-fund’s assets are invested in units of exchange-traded funds (ETFs) and of exchange-traded commodity bonds (ETCs).