FUND

Prisma Aktiv UI – R EUR A (ausschüttend)

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In this selected fund of the star investor Prisma Investment GmbH you can invest directly through MyInvestor. As a private customer, MyInvestor gives you exclusive access to types of investment and conditions that are otherwise only reserved for institutional investors.

Fund Company

Prisma Investment GmbH

ISIN

DE000A1W9A77

Risc class

4

The fund aims as its investment goal to achieve as high as possible an increase in value. To attain this, the fund invests in various investment assets. Prisma Aktiv UI s an actively managed mixed fund, in which at least about 50% of the fund is to be invested in fixed-interest securities (government and corporate bonds) with a promising opportunity/risk profile. On the principle of risk spread, up to 50% of the fund’s assets may be invested in equities, mainly from Europe and Asia. On the postulate of “capital maintenance + target return”, the fund management controls the fund allocation or investment ratio flexibly, according to the macroeconomic environment. The fundamental selection of individual securities is made by way of an in-depth business-model analysis, based on the firm-internal Prisma Quality and Potential Navigator, in close dependence on the real economy. With the aid of this tool, the intrinsic worth of equities and the risk profile of corporate bonds is assessed.

Invest in now Prisma Aktiv UI – R EUR A (ausschüttend)

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Fund Company Prisma Investment GmbH

ISIN DE000A1W9A77

RISC CLASS4

The fund aims as its investment goal to achieve as high as possible an increase in value. To attain this, the fund invests in various investment assets. Prisma Aktiv UI s an actively managed mixed fund, in which at least about 50% of the fund is to be invested in fixed-interest securities (government and corporate bonds) with a promising opportunity/risk profile. On the principle of risk spread, up to 50% of the fund’s assets may be invested in equities, mainly from Europe and Asia. On the postulate of “capital maintenance + target return”, the fund management controls the fund allocation or investment ratio flexibly, according to the macroeconomic environment. The fundamental selection of individual securities is made by way of an in-depth business-model analysis, based on the firm-internal Prisma Quality and Potential Navigator, in close dependence on the real economy. With the aid of this tool, the intrinsic worth of equities and the risk profile of corporate bonds is assessed.

The fund aims as its investment goal to achieve as high as possible an increase in value. To attain this, the fund invests in various investment assets. Prisma Aktiv UI s an actively managed mixed fund, in which at least about 50% of the fund is to be invested in fixed-interest securities (government and corporate bonds) with a promising opportunity/risk profile. On the principle of risk spread, up to 50% of the fund’s assets may be invested in equities, mainly from Europe and Asia. On the postulate of “capital maintenance + target return”, the fund management controls the fund allocation or investment ratio flexibly, according to the macroeconomic environment. The fundamental selection of individual securities is made by way of an in-depth business-model analysis, based on the firm-internal Prisma Quality and Potential Navigator, in close dependence on the real economy. With the aid of this tool, the intrinsic worth of equities and the risk profile of corporate bonds is assessed.

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  • No additional administration fee.

  • No deposit fees.

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