Plan Capitalización, P.P.

Investment Objective

To maximize profitability by optimizing the risk/return ratio.

The Pension Fund where this Plan is integrated to aims for beating the performance of an index composed by 75% Euro Stoxx 50 + 25% Money Market in the long term.

Investor Profile

The Fund is intended for investors with a moderate/aggressive risk profile looking for attractive returns while assuming moderate risks.

However, it can be used as a supplement or a more aggressive alternative if the investor has more conservative positions on Pensions.

General Information
Category Equity Joint
Risk Profile Moderate
Managing Company GVC Gaesco Pension, SGFP
Custodian Banc de Sabadell
Launch Date 25/03/1991
NAV
Cod. DGS N1233