The Pension Fund where this Plan is integrated to aims for long-term profitability outperforming Money Market plus 100 basis points.
The Fund is intended for those investors with a conservative risk profile not wanting to experience fluctuations in profitability arising from the volatility of the markets in general and equities in particular.
However, it can be used as a supplement or a safe haven alternative if the investor has other more aggressive positions on Pensions.
General Information | |
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Category | Mixed Fixed Income |
Risk Profile | Conservative |
Managing Company | GVC Gaesco Pension, SGFP |
Custodian | Banc de Sabadell |
Launch Date | 22/09/1989 |
NAV | |
Cod. DGS | N0171 |
Quarterly Reports