The GF Balanced Blend Fund of Funds invests in mutual fund units managed by top international fund managers. It has a diversified portfolio which includes many asset classes with a broad and unrestricted geographic orientation.
Investment objective
It aims to provide satisfactory returns over the medium/long term through a balanced medium-risk investment exposure to various asset classes with a broad and unrestricted geographic orientation.
The asset classes include:
- Bonds and equities.
- Property securities.
- Commodities and cash.
The GF Balanced Blend Fund of Funds invests in:
- Units of other mutual funds managed by top international investment firms – including units of exchange traded funds (ETFs).
- Developed and emerging markets.
The selection of the mutual funds included in the portfolio is based on a qualitative and quantitative analysis carried out regularly. The aim is to contribute to achieving the investment objective of the GF Balanced Blend Fund of Funds.
The mutual fund may invest in derivative financial instruments, to mitigate the risk arising from fluctuations in stock markets and exchange rates.
Investor profile
The GF Balanced Blend Fund of Funds has a medium risk profile. It is intended for investors who seek:
- Returns by investing in a widely diversified portfolio whose assets are invested in units of UCITS with various asset classes and investment objectives.
- To benefit from their active management.
This is a marketing communication. Please refer to the Prospectus of the Fund and the PRIIP KID before making any final investment decisions.