Home > Взаимни фондове > Фонд от Фондове > (ЛФ) Фонд от Фондове – Цикъл на живот 2037 > Portfolio Allocation

Portfolio Allocation

Tuesday 19 October 2021, by Telkea

Asset allocation*

Geographical Breakdown*- Equities (of T.A.)

Geographical Breakdown*- Bonds (of T.A.)

Top 5 Holdings

DBX MSCI WORLD (DR) 1C 13.52%
BNP EASY S&P 500 UCITS (ETF) 8.05%
SCHRODER ISF US LARG CP EQTY(C$-ACC) 7.78%
ISHARES MSCI ACWI (ETF) 7.52%
JPM EU GOV (C€ - ACC) 6.71%

* True exposure based on Morningstar Direct data as available on the reference date