public, open end, global mixed fund
Inception: 29.08.2022.
Investment
policy, about
the portfolio
OTP Multi-Asset Conservative Fund is member of a product family called OTP Multi-Asset Funds. The fund units are issued in
euro, the fund invests in numerous other investment funds.
Thanks to the fund of funds structure, you can build a well diversified international securities portfolio by investing in
a single investment fund.
The OTP Multi-Asset Funds include both active and passive strategies in each asset class. We select actively managed equity
funds, that may overperform their category peergroup, thanks to their competent. We select funds with better pat performance
and lower volatility, according to the appropriate risk management strategy. The funds are selected based on both quantitative
and qualitative aspects, relying on the knowledge of the investment process.
The funds seek global exposure to both equity and bond markets. This means, that in addition to all American and European
exposure, the funds also include a smaller proportion of emerging markets. However, the focus is on the major markets.
Composition of OTP Multi-Asset Conservative fund:
50% bond
31% equity
19% alternative assets
If you would undertake moderate risk with majority bond exposure, you may consider OTP Multi-Asset Conservative Fund.
In other cases please take in to consideration the two other members of OTP Multi-Asset Funds family:
If you would undertake moderate risk with majority equity exposure, you may consider
OTP Multi-Asset Balanced Fund.
If you would undertake medium risk with majority equity exposure, you may consider
OTP Multi-Asset Dynamic Fund.
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