Euroinvest Domestic Balanced Fund
_Στόχευση_:
_Χρονικός Ορίζοντας_:
Level of Risk:

Investment Objective
Achieving efficiency derived from capital gains, dividends and income (coupons) with the assumption of low investment risk. The investment objective is achieved through active management of the assets of the fund.
Investment Strategy
It invests in a diversified portfolio consisting of Greek bonds and selected stocks of companies that have their registered offices in Greece. The fund has a medium investment risk and its performance is compared by 50% with that of the General Index of the Athens Stock Exchange and 50% with the index ο Bloomberg Barclays Series-E Greece Govt All > 1 Yr Bond Index.
Refers To
Investors with a medium-term horizon (3-5 years) who wish to be placed in a flexible, wide-dispersion portfolio of Greek securities, expecting good performance and assuming the lowest possible risk of capital loss.
1st PLACE
Fund Managers Awards 2019
For 3 Years performance 2017-2019
1st PLACE
Fund Managers Awards 2017
For 1 Year performance 2017
1st PLACE
Fund Managers Awards 2018
For 3 Years performance 2016-2018
1st PLACE
Fund Managers Awards 2017
For 5 Years performance 2013-2017

Contact us
We are disciplined long-term investors
For any clarifications regarding the mutual funds managed by European Reliance Asset Management please contact us.