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Flossbach von Storch SICAV -

Multiple Opportunities

Investing without a benchmark index, based solely on the attractiveness of the individual investment. This offers maximum flexibility for investors who expect high returns and are not afraid of price fluctuations.

The investment strategy

Portfolio management focuses on selecting interesting opportunities. The fund is therefore subject to only a few restrictions. The investment focus is on equities, with a minimum allocation of 25 per cent. However, there is no upper limit – the equity allocation of the portfolio can rise to 100 per cent.

This high degree of flexibility gives our investors the opportunity to earn money with their assets over the long term. In return, investors should be prepared to accept price fluctuations.

The fund manager

Dr Bert Flossbach founded the asset management company Flossbach von Storch together with Kurt von Storch in 1998. He is responsible for research and investment management. He has managed Flossbach von Storch Multiple Opportunities since its launch in 2007. All investment decisions are based on the company's proven investment guidelines. Bert Flossbach is supported by a team of experienced portfolio managers and analysts.

Flossbach von Storch SICAV - Multiple Opportunities

Each of our funds is offered in different share classes. The figures below show the performance of share class R in euros, which is primarily invested in by private investors.

Further information on performance, portfolio composition and opportunities and risks of the Flossbach von Storch - Multiple Opportunities II can be found on our fund details page. 

Fund detail page 

Clear principles for discerning investors

Flexible portfolio structure

Whenever it makes sense, we invest with a focus on growth. However, the portfolio structure is flexible – in turbulent market phases, we opt for a balanced or defensive investment strategy as required.

Broad diversification

Through broad diversification across multiple asset classes, sectors and regions, we reduce risks and exploit a wide range of return opportunities – always in your best interests.

Active management

Commercial thinking and action shape every investment decision. We only invest when the opportunities clearly outweigh the risks. We actively manage your portfolio.


How to invest in

Flossbach von Storch - Multiple Opportunities

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.


‘Active benchmark-independent portfolio management always starts with a blank sheet of paper.’

Dr. Bert Flossbach


Further information on performance, portfolio composition and opportunities and risks of the Flossbach von Storch SICAV - Multiple Opportunities can be found on our fund details page.

Fund detail page 


Multi-Asset-Funds

Broadly diversified multi-asset strategies offer a wide range of earnings opportunities.

Learn more 

Equity funds

Our investment team carefully selects all equities and actively manages the funds.

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Bond-funds

Bond funds offer appropriate earnings opportunities - with moderate risks.

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