Italy, Luxembourg, Switzerland
Indice di rischio
|Valuta di base||Euro|
|Categoria||Flexible bond funds|
|Classi di quote||ACCUMULATION|
Obiettivo della gestione
It aims at enhancing the value of its assets in the long term.
Politica di investimento
This sub-fund invests in equity or equity-related securities (in particular, convertible bonds, warrants and investment certificates), bonds and highly-volatile derivatives. The investment process uses a systematic approach, applying quantitative models to regulate exposure to equity and bond markets and, more in general, to any asset class other than liquidity.
|AZ FUND 1 Management Regulation (English version).pdf||pdf 286 kb|
|AZ FUND 1 - Annual Report as at 31 December 2019 (English version).pdf||pdf 2709 kb|
|AZ FUND 1 Annual Report as at 31 December 2019 (for German investors).pdf||pdf 2756 kb|
|AZ Fund 1_Semi-Annual Report 30.06.2019 (for Austrian investors).pdf||pdf 2320 kb|
|AZ Fund 1_Semi-Annual Report 30.06.2019 (for German investors).pdf||pdf 2381 kb|
|AZ Fund 1_Semi-Annual Report 30.06.2017 (English version).pdf||pdf 2260 kb|
|AZ FUND 1 Annual Report as at 31 December 2019 (for Austrian investors).pdf||pdf 2721 kb|