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.
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.
|Managing Company||GVC Gaesco Pension, SGFP|
|Custodian||Banc de Sabadell|