Flossbach von Storch -
Dividend
The Flossbach von Storch - Dividend is a globally diversified equity fund with an active investment approach. The focus is on companies of first-class quality that offer an attractive dividend profile.

The investment strategy
A successful long-term dividend strategy is based not only on the amount of the dividend, but also on dividend security and dividend growth. That is why we select stocks for the Flossbach von Storch Dividend Fund from companies that generate profits regularly over long periods of time, distribute them and thus increase dividends sustainably. In order to identify attractive dividend stocks, we follow a multi-stage, systematic selection process.

The fund manager
Ludwig Palm joined the investment management team at Flossbach von Storch in 2012. As a portfolio manager, he is responsible for the global equity fund Flossbach von Storch - Dividend. He previously worked as an investment banker at Credit Suisse in London and Frankfurt. Ludwig Palm studied civil engineering at RWTH Aachen University, Imperial College London and ENPC Paris. He manages the fund together with Michael Illig and Michael Altintzoglou.
Flossbach von Storch - Dividend
Each of our funds is offered in different share classes. The following figures show the performance of share class R in euros, which is primarily invested in by private investors.
Clear principles for discerning investors
Diversified portfolio
You receive a global, benchmark-independent portfolio containing 40 to 60 attractive dividend-paying stocks from around the world.
High dividend quality
In addition to the dividend yield, our quality assessment primarily takes into account dividend stability and the potential for increases in distributions.
Three-stage selection process
We select attractive, fairly valued quality dividend aristocrats for you in a three-stage selection process and actively manage your portfolio.
How to invest in the
Flossbach von Storch - Dividend
Our funds are available through a broad network of financial service providers such as banks, savings banks, insurance companies and independent financial advisors. Simply make a note of the name, WKN or ISIN number and speak to your personal advisor.
Further information on performance, portfolio composition and opportunities and risks can be found on our fund details page.
Multi-Asset-Funds
Broadly diversified multi-asset strategies offer a wide range of earnings opportunities.
Equity funds
Our investment team carefully selects all equities and actively manages the funds.
Bond-funds
Bond funds offer appropriate earnings opportunities - with moderate risks.