Flossbach von Storch - Multi Asset - Growth IT

Flossbach von Storch - Multi Asset - Growth offers comprehensive integrated investment management for long-term investors. The fund management invests world-wide on the principle of risk diversification in equities, bonds, convertible bonds, currencies, precious metals (indirect) and investment funds. Derivatives may also be used for hedging purposes or for optimising returns. The equity component may range between 25 per cent and 75 per cent. The fund management uses an in-house developed valuation model when selecting individual stocks.


WKN:A14UL2
ISIN:LU1245471138
Authorised for distribution:AT, CH, DE, ES, FR, IT, LU
Fund type / legal structure:UCITS / FCP
Domicile:Luxemburg
Fund currency:EUR
Launch date:13 July 2015
Financial year end:30 September
Income utilisation:Accumulating
Management company:Flossbach von Storch Invest S.A.
Custodian bank / Paying agent:DZ PRIVATBANK S.A.
Manager:Flossbach von Storch AG
Data from:8 November 2019
Fund assets:651,748,438.08 EUR
NIW:127.66 EUR
Redemption price:127.66 EUR
Issue price*:134.04 EUR
Ongoing charges:0.89%
which includes a management fee of:0.78%
Issue surcharge:up to 5.00%

* incl. max. issue surcharge 5.00%

Source: Custodian bank / Paying agent

Annual performance (As at: 08.11.2019)*

Gross fund performance (BVI method) takes into account all costs incurred at fund level (for example, management fees), net fund performance also takes into account the subscription fee. Further costs may be charged individually at customer level (e.g. custody fees, commissions and other charges). Example calculation (net method): An investor wishes to buy shares with capital of €1,000. Based on a maximum subscription fee of 5 %, € 50 will be deducted from their investment as a one-off initial charge. In addition, custody fees may also be applied, which will further reduce the investor’s return. The level of custody fees can be found in your bank’s schedule of fees and services.
Please refer to the cost details presented in this document to determine the maximum subscription fee for the share class of the sub-fund.
The reference index is merely informative. It does not constitute any obligation from the fund manager to track the index or achieve the same performance.
Past performance is not a reliable indicator of future performance.

*Share class IT of the sub-fund Flossbach von Storch - Multi Asset - Growth was launched on 13.07.2015. The performance data up to 12.07.2015 is a simulated historical performance. It is based on the performance of another Luxembourg sub-fund that had been launched on 23.10.2007 and was merged into this sub-fund effective 1 July 2015. The simulated historical performance takes into account the fee structure of share class IT. Simulated performance is intended purely as an indicator and does not allow any conclusions to be drawn regarding the actual future performance.

Source: Custodian bank and SIX Financial Information

Performance (EUR, gross, in %, As at: 08.11.2019)*

Gross fund performance (BVI method) takes into account all costs incurred at fund level (for example, management fees), net fund performance also takes into account the subscription fee. Further costs may be charged individually at customer level (e.g. custody fees, commissions and other charges). Example calculation (net method): An investor wishes to buy shares with capital of €1,000. Based on a maximum subscription fee of 5 %, € 50 will be deducted from their investment as a one-off initial charge. In addition, custody fees may also be applied, which will further reduce the investor’s return. The level of custody fees can be found in your bank’s schedule of fees and services.
Please refer to the cost details presented in this document to determine the maximum subscription fee for the share class of the sub-fund.
The reference index is merely informative. It does not constitute any obligation from the fund manager to track the index or achieve the same performance.
Past performance is not a reliable indicator of future performance.

*Share class IT of the sub-fund Flossbach von Storch - Multi Asset - Growth was launched on 13.07.2015. The performance data up to 12.07.2015 is a simulated historical performance. It is based on the performance of another Luxembourg sub-fund that had been launched on 23.10.2007 and was merged into this sub-fund effective 1 July 2015. The simulated historical performance takes into account the fee structure of share class IT. Simulated performance is intended purely as an indicator and does not allow any conclusions to be drawn regarding the actual future performance.

Source: Custodian bank and SIX Financial Information

Accumulated Performance (gross, in %, As at: 08.11.2019)*

YTD18.12%
1 year9.96%
3 years22.67%
5 years40.75%
10 years123.61%
1 year p.a.4.48%
3 years p.a.7.05%
5 years p.a.7.07%
10 years p.a.8.38%
since 24.10.2007107.53%

Gross fund performance (BVI method) takes into account all costs incurred at fund level (for example, management fees), net fund performance also takes into account the subscription fee. Further costs may be charged individually at customer level (e.g. custody fees, commissions and other charges). Example calculation (net method): An investor wishes to buy shares with capital of €1,000. Based on a maximum subscription fee of 5 %, € 50 will be deducted from their investment as a one-off initial charge. In addition, custody fees may also be applied, which will further reduce the investor’s return. The level of custody fees can be found in your bank’s schedule of fees and services.
Please refer to the cost details presented in this document to determine the maximum subscription fee for the share class of the sub-fund.
The reference index is merely informative. It does not constitute any obligation from the fund manager to track the index or achieve the same performance.
Past performance is not a reliable indicator of future performance.

*Share class IT of the sub-fund Flossbach von Storch - Multi Asset - Growth was launched on 13.07.2015. The performance data up to 12.07.2015 is a simulated historical performance. It is based on the performance of another Luxembourg sub-fund that had been launched on 23.10.2007 and was merged into this sub-fund effective 1 July 2015. The simulated historical performance takes into account the fee structure of share class IT. Simulated performance is intended purely as an indicator and does not allow any conclusions to be drawn regarding the actual future performance.

Source: Custodian bank and SIX Financial Information

Monthly performance (gross, in %, As at: 08.11.2019)*

 20192018201720162015201420132012201120102009
Jan5.28%0.41%0.63%-5.07%6.15%-0.87%2.20%3.16%-2.02%0.33%2.21%
Feb2.63%-2.10%3.04%2.89%3.49%3.27%1.39%1.60%1.43%0.75%-2.14%
Mar1.40%-1.77%0.64%1.85%1.39%-0.31%3.06%-0.28%-1.54%3.54%1.46%
Apr2.89%2.59%0.70%1.06%-0.66%0.63%-0.94%-0.20%0.90%0.66%4.37%
May-3.46%3.06%0.86%0.16%0.91%1.71%1.58%-1.64%1.10%-0.33%3.40%
Jun2.52%-1.36%-1.64%-0.31%-4.60%1.31%-4.53%0.41%-1.99%0.51%0.49%
Jul3.04%1.38%-0.82%4.33%3.34%1.15%1.91%5.82%2.03%-2.27%2.88%
Aug-0.31%-1.36%-0.17%0.37%-5.37%1.69%0.43%0.58%-2.05%1.54%1.55%
Sep1.91%-0.08%1.99%-0.88%-3.70%0.99%0.60%1.57%-0.78%0.81%2.20%
Oct0.08%-3.14%1.72%0.12%8.81%-0.08%0.99%-1.94%3.02%1.59%0.64%
Nov1.04%-0.27%0.16%-0.81%0.49%3.78%1.27%1.90%0.40%1.73%2.14%
Dec-4.92%0.84%3.51%-1.70%1.04%-0.03%-0.71%1.82%3.59%1.45%
YTD18.12%-7.58%8.17%7.10%7.81%15.18%8.00%10.51%2.16%13.03%22.54%

Gross fund performance (BVI method) takes into account all costs incurred at fund level (for example, management fees), net fund performance also takes into account the subscription fee. Further costs may be charged individually at customer level (e.g. custody fees, commissions and other charges). Example calculation (net method): An investor wishes to buy shares with capital of €1,000. Based on a maximum subscription fee of 5 %, € 50 will be deducted from their investment as a one-off initial charge. In addition, custody fees may also be applied, which will further reduce the investor’s return. The level of custody fees can be found in your bank’s schedule of fees and services.
Please refer to the cost details presented in this document to determine the maximum subscription fee for the share class of the sub-fund.
The reference index is merely informative. It does not constitute any obligation from the fund manager to track the index or achieve the same performance.
Past performance is not a reliable indicator of future performance.

*Share class IT of the sub-fund Flossbach von Storch - Multi Asset - Growth was launched on 13.07.2015. The performance data up to 12.07.2015 is a simulated historical performance. It is based on the performance of another Luxembourg sub-fund that had been launched on 23.10.2007 and was merged into this sub-fund effective 1 July 2015. The simulated historical performance takes into account the fee structure of share class IT. Simulated performance is intended purely as an indicator and does not allow any conclusions to be drawn regarding the actual future performance.

Source: Custodian bank and SIX Financial Information

Strategy breakdown (As at: 30.09.2019)

Equities62.26 %
Bonds20.05 %
Cash9.22 %
Gold (indirect)8.44 %
Other (incl. derivatives)0.03 %

Source: Depositary and Flossbach von Storch

Top 10 sectors for equities (As at: 30.09.2019)

Pharmaceuticals, Biotechnology & Life Sciences14.47 %
Media & Entertainment13.26 %
Materials10.22 %
Food, Beverage & Tobacco8.41 %
Software & Services7.02 %
Real Estate5.49 %
Energy5.41 %
Insurance5.37 %
Transportation5.21 %
Telecommunication Services4.68 %

Source: Depositary and Flossbach von Storch

Breakdown of ratings for bonds (As at: 30.09.2019)

A4.18 %
BBB51.73 %
BB24.08 %
NR20.01 %

Source: Depositary and Flossbach von Storch

Other key figures (As at: 30.09.2019)

Sharpe Ratio a 1,22
Value at Risk (VaR) b -4,76%
Volatility c 7,61%
Maximum drawdown d -8,79%

a The Sharpe ratio is a measurement for the risk/return profile of an investment. In terms of sub-funds, it determines how much outperformance (that is return on the fund’s assets minus the return of a risk-free asset) the sub-fund achieved per unit of risk.

b The value at risk (VaR) is a means to measure risk and describes the loss that, with a pre-defined probability (in this case 99 per cent) and in a predetermined holding period (in this case 20 days), will not be exceeded. Here we are dealing with an ex post VaR which has been calculated according to sub-fund prices for a given time series.

c Volatility is measured through standard deviation and is used to determine the degree of fluctuation of sub-fund prices over a given time frame.

d The “maximum drawdown” shows the maximum loss an investor can suffer through an unfortunate choice of timing for buying or selling securities in a given time period (260 days).

Historic Prices

As at Share class currency Issue price Redemption price NAV
EUR 105.61 100.58 100.58
EUR 107.39 102.28 102.28
EUR 108.02 102.88 102.88
EUR 108.24 103.09 103.09
EUR 109.47 104.26 104.26
EUR 109.95 104.71 104.71
EUR 109.78 104.55 104.55
EUR 108.97 103.78 103.78
EUR 108.52 103.35 103.35
EUR 107.97 102.83 102.83
EUR 107.42 102.30 102.30
EUR 105.95 100.90 100.90
EUR 106.98 101.89 101.89
EUR 107.58 102.46 102.46
EUR 108.22 103.07 103.07
EUR 107.85 102.71 102.71
EUR 108.36 103.20 103.20
EUR 108.38 103.22 103.22
EUR 109.29 104.09 104.09
EUR 108.69 103.51 103.51
EUR 108.15 103.00 103.00
EUR 108.64 103.47 103.47
EUR 107.36 102.25 102.25
EUR 105.84 100.80 100.80
EUR 106.37 101.30 101.30
EUR 106.51 101.44 101.44
EUR 107.01 101.91 101.91
EUR 106.95 101.86 101.86
EUR 106.10 101.05 101.05
EUR 104.34 99.37 99.37
EUR 101.70 96.86 96.86
EUR 97.86 93.20 93.20
EUR 98.92 94.21 94.21
EUR 99.73 94.98 94.98
EUR 102.11 97.25 97.25
EUR 102.41 97.53 97.53
EUR 102.06 97.20 97.20
EUR 100.01 95.25 95.25
EUR 100.81 96.01 96.01
EUR 102.19 97.32 97.32
EUR 100.87 96.07 96.07
EUR 100.83 96.03 96.03
EUR 101.72 96.88 96.88
EUR 101.82 96.97 96.97
EUR 101.29 96.47 96.47
EUR 100.62 95.83 95.83
EUR 100.26 95.49 95.49
EUR 101.10 96.29 96.29
EUR 102.11 97.25 97.25
EUR 101.89 97.04 97.04
EUR 100.88 96.08 96.08
EUR 101.99 97.13 97.13
EUR 100.74 95.94 95.94
EUR 100.60 95.81 95.81
EUR 99.54 94.80 94.80
EUR 100.74 95.94 95.94
EUR 99.11 94.39 94.39
EUR 98.62 93.92 93.92
EUR 100.21 95.44 95.44
EUR 99.88 95.12 95.12
EUR 100.56 95.77 95.77
EUR 102.19 97.32 97.32
EUR 102.32 97.45 97.45
EUR 102.67 97.78 97.78
EUR 102.95 98.05 98.05
EUR 102.97 98.07 98.07
EUR 103.16 98.25 98.25
EUR 102.69 97.80 97.80
EUR 102.04 97.18 97.18
EUR 103.36 98.44 98.44
EUR 103.61 98.68 98.68
EUR 103.95 99.00 99.00
EUR 103.67 98.73 98.73
EUR 103.36 98.44 98.44
EUR 105.42 100.40 100.40
EUR 107.07 101.97 101.97
EUR 106.92 101.83 101.83
EUR 106.51 101.44 101.44
EUR 107.10 102.00 102.00
EUR 107.30 102.19 102.19
EUR 106.66 101.58 101.58
EUR 106.96 101.87 101.87
EUR 107.31 102.20 102.20
EUR 107.91 102.77 102.77
EUR 107.67 102.54 102.54
EUR 107.89 102.75 102.75
EUR 107.03 101.93 101.93
EUR 107.15 102.05 102.05
EUR 107.09 101.99 101.99
EUR 106.29 101.23 101.23
EUR 105.42 100.40 100.40
EUR 105.90 100.86 100.86
EUR 106.82 101.73 101.73
EUR 107.11 102.01 102.01
EUR 107.05 101.95 101.95
EUR 107.59 102.47 102.47
EUR 107.63 102.50 102.50
EUR 107.21 102.10 102.10
EUR 107.72 102.59 102.59
EUR 107.91 102.77 102.77
EUR 107.82 102.69 102.69
EUR 107.81 102.68 102.68
EUR 108.00 102.86 102.86
EUR 108.07 102.92 102.92
EUR 105.84 100.80 100.80
EUR 106.37 101.30 101.30
EUR 106.75 101.67 101.67
EUR 105.85 100.81 100.81
EUR 104.91 99.91 99.91
EUR 105.06 100.06 100.06
EUR 103.77 98.83 98.83
EUR 103.20 98.29 98.29
EUR 104.46 99.49 99.49
EUR 105.19 100.18 100.18
EUR 105.30 100.29 100.29
EUR 104.57 99.59 99.59
EUR 104.33 99.36 99.36
EUR 104.30 99.33 99.33
EUR 105.17 100.16 100.16
EUR 104.96 99.96 99.96
EUR 105.99 100.94 100.94
EUR 105.25 100.24 100.24
EUR 104.48 99.50 99.50
EUR 104.75 99.76 99.76
EUR 104.03 99.08 99.08
EUR 102.52 97.64 97.64
EUR 101.52 96.69 96.69
EUR 101.56 96.72 96.72
EUR 102.09 97.23 97.23
EUR 101.50 96.67 96.67
EUR 101.24 96.42 96.42
EUR 99.58 94.84 94.84
EUR 99.61 94.87 94.87
EUR 100.23 95.46 95.46
EUR 98.95 94.24 94.24
EUR 99.69 94.94 94.94
EUR 101.42 96.59 96.59
EUR 101.28 96.46 96.46
EUR 101.71 96.87 96.87
EUR 101.42 96.59 96.59
EUR 100.61 95.82 95.82
EUR 102.65 97.76 97.76
EUR 102.49 97.61 97.61
EUR 101.78 96.93 96.93
EUR 100.98 96.17 96.17
EUR 100.55 95.76 95.76
EUR 99.98 95.22 95.22
EUR 99.11 94.39 94.39
EUR 98.10 93.43 93.43
EUR 98.67 93.97 93.97
EUR 97.69 93.04 93.04
EUR 98.73 94.03 94.03
EUR 99.98 95.22 95.22
EUR 100.39 95.61 95.61
EUR 101.63 96.79 96.79
EUR 102.18 97.31 97.31
EUR 102.01 97.15 97.15
EUR 102.90 98.00 98.00
EUR 102.44 97.56 97.56
EUR 102.03 97.17 97.17
EUR 102.87 97.97 97.97
EUR 103.52 98.59 98.59
EUR 103.88 98.93 98.93
EUR 105.01 100.01 100.01
EUR 105.69 100.66 100.66
EUR 105.28 100.27 100.27
EUR 105.35 100.33 100.33
EUR 105.38 100.36 100.36
EUR 104.88 99.89 99.89
EUR 104.94 99.94 99.94
EUR 104.25 99.29 99.29
EUR 105.35 100.33 100.33
EUR 105.77 100.73 100.73
EUR 105.26 100.25 100.25
EUR 105.49 100.47 100.47
EUR 104.99 99.99 99.99
EUR 105.25 100.24 100.24
EUR 105.36 100.34 100.34
EUR 105.55 100.52 100.52
EUR 105.41 100.39 100.39
EUR 104.74 99.75 99.75
EUR 105.30 100.29 100.29
EUR 105.43 100.41 100.41
EUR 105.01 100.01 100.01
EUR 104.66 99.68 99.68
EUR 104.76 99.77 99.77
EUR 104.08 99.12 99.12
EUR 104.73 99.74 99.74
EUR 104.42 99.45 99.45
EUR 104.57 99.59 99.59
EUR 104.55 99.57 99.57
EUR 105.13 100.12 100.12
EUR 106.67 101.59 101.59
EUR 106.87 101.78 101.78
EUR 106.64 101.56 101.56
EUR 106.76 101.68 101.68
EUR 107.51 102.39 102.39
EUR 107.79 102.66 102.66
EUR 107.42 102.30 102.30
EUR 107.26 102.15 102.15
EUR 107.19 102.09 102.09
EUR 106.90 101.81 101.81
EUR 107.01 101.91 101.91
EUR 106.54 101.47 101.47
EUR 105.42 100.40 100.40
EUR 105.43 100.41 100.41
EUR 104.76 99.77 99.77
EUR 104.34 99.37 99.37
EUR 104.37 99.40 99.40
EUR 104.66 99.68 99.68
EUR 105.19 100.18 100.18
EUR 104.72 99.73 99.73
EUR 104.52 99.54 99.54
EUR 104.93 99.93 99.93
EUR 104.65 99.67 99.67
EUR 104.81 99.82 99.82
EUR 104.17 99.21 99.21
EUR 104.75 99.76 99.76
EUR 104.53 99.55 99.55
EUR 105.47 100.45 100.45
EUR 106.11 101.06 101.06
EUR 106.27 101.21 101.21
EUR 106.70 101.62 101.62
EUR 106.71 101.63 101.63
EUR 106.66 101.58 101.58
EUR 106.45 101.38 101.38
EUR 106.68 101.60 101.60
EUR 106.32 101.26 101.26
EUR 106.49 101.42 101.42
EUR 107.06 101.96 101.96
EUR 107.21 102.10 102.10
EUR 107.14 102.04 102.04
EUR 106.22 101.16 101.16
EUR 105.23 100.22 100.22
EUR 104.65 99.67 99.67
EUR 104.85 99.86 99.86
EUR 105.11 100.10 100.10
EUR 104.76 99.77 99.77
EUR 105.64 100.61 100.61
EUR 106.07 101.02 101.02
EUR 106.50 101.43 101.43
EUR 105.03 100.03 100.03
EUR 103.95 99.00 99.00
EUR 104.96 99.96 99.96
EUR 106.38 101.31 101.31
EUR 106.90 101.81 101.81
EUR 107.42 102.30 102.30
EUR 107.50 102.38 102.38
EUR 106.95 101.86 101.86
EUR 106.75 101.67 101.67
EUR 107.12 102.02 102.02
EUR 108.13 102.98 102.98
EUR 109.18 103.98 103.98
EUR 109.61 104.39 104.39
EUR 109.76 104.53 104.53
EUR 110.11 104.87 104.87
EUR 110.03 104.79 104.79
EUR 110.17 104.92 104.92
EUR 110.05 104.81 104.81
EUR 110.71 105.44 105.44
EUR 110.85 105.57 105.57
EUR 110.99 105.70 105.70
EUR 111.16 105.87 105.87
EUR 111.11 105.82 105.82
EUR 111.51 106.20 106.20
EUR 110.99 105.70 105.70
EUR 111.22 105.92 105.92
EUR 111.28 105.98 105.98
EUR 110.30 105.05 105.05
EUR 110.27 105.02 105.02
EUR 110.75 105.48 105.48
EUR 111.59 106.28 106.28
EUR 111.50 106.19 106.19
EUR 111.91 106.58 106.58
EUR 111.69 106.37 106.37
EUR 112.21 106.87 106.87
EUR 112.21 106.87 106.87
EUR 111.52 106.21 106.21
EUR 111.20 105.90 105.90
EUR 111.27 105.97 105.97
EUR 110.96 105.68 105.68
EUR 110.87 105.59 105.59
EUR 111.10 105.81 105.81
EUR 111.15 105.86 105.86
EUR 110.65 105.38 105.38
EUR 110.80 105.52 105.52
EUR 111.21 105.91 105.91
EUR 111.39 106.09 106.09
EUR 111.02 105.73 105.73
EUR 110.82 105.54 105.54
EUR 111.80 106.48 106.48
EUR 111.92 106.59 106.59
EUR 111.92 106.59 106.59
EUR 112.18 106.84 106.84
EUR 111.73 106.41 106.41
EUR 110.68 105.41 105.41
EUR 110.43 105.17 105.17
EUR 110.07 104.83 104.83
EUR 109.78 104.55 104.55
EUR 110.05 104.81 104.81
EUR 109.96 104.72 104.72
EUR 110.30 105.05 105.05
EUR 110.58 105.31 105.31
EUR 111.16 105.87 105.87
EUR 111.94 106.61 106.61
EUR 111.52 106.21 106.21
EUR 110.43 105.17 105.17
EUR 110.73 105.46 105.46
EUR 110.99 105.70 105.70
EUR 110.42 105.16 105.16
EUR 110.53 105.27 105.27
EUR 110.57 105.30 105.30
EUR 110.88 105.60 105.60
EUR 110.68 105.41 105.41
EUR 110.51 105.25 105.25
EUR 109.97 104.73 104.73
EUR 110.58 105.31 105.31
EUR 110.43 105.17 105.17
EUR 110.22 104.97 104.97
EUR 109.78 104.55 104.55
EUR 110.40 105.14 105.14
EUR 110.02 104.78 104.78
EUR 110.70 105.43 105.43
EUR 111.07 105.78 105.78
EUR 111.38 106.08 106.08
EUR 111.77 106.45 106.45
EUR 111.75 106.43 106.43
EUR 111.64 106.32 106.32
EUR 111.20 105.90 105.90
EUR 111.14 105.85 105.85
EUR 110.55 105.29 105.29
EUR 109.57 104.35 104.35
EUR 108.75 103.57 103.57
EUR 108.39 103.23 103.23
EUR 107.99 102.85 102.85
EUR 109.27 104.07 104.07
EUR 109.38 104.17 104.17
EUR 110.04 104.80 104.80
EUR 109.89 104.66 104.66
EUR 109.55 104.33 104.33
EUR 109.01 103.82 103.82
EUR 109.47 104.26 104.26
EUR 109.66 104.44 104.44
EUR 110.20 104.95 104.95
EUR 110.11 104.87 104.87
EUR 110.22 104.97 104.97
EUR 109.79 104.56 104.56
EUR 109.50 104.29 104.29
EUR 109.69 104.47 104.47
EUR 110.04 104.80 104.80
EUR 109.73 104.50 104.50
EUR 109.66 104.44 104.44
EUR 109.33 104.12 104.12
EUR 108.57 103.40 103.40
EUR 108.44 103.28 103.28
EUR 108.93 103.74 103.74
EUR 109.24 104.04 104.04
EUR 110.18 104.93 104.93
EUR 111.31 106.01 106.01
EUR 112.38 107.03 107.03
EUR 111.77 106.45 106.45
EUR 112.47 107.11 107.11
EUR 112.13 106.79 106.79
EUR 112.95 107.57 107.57
EUR 113.05 107.67 107.67
EUR 113.41 108.01 108.01
EUR 113.68 108.27 108.27
EUR 113.43 108.03 108.03
EUR 113.11 107.72 107.72
EUR 113.21 107.82 107.82
EUR 113.39 107.99 107.99
EUR 113.65 108.24 108.24
EUR 113.52 108.11 108.11
EUR 113.23 107.84 107.84
EUR 113.72 108.30 108.30
EUR 114.46 109.01 109.01
EUR 114.44 108.99 108.99
EUR 114.45 109.00 109.00
EUR 114.65 109.19 109.19
EUR 114.74 109.28 109.28
EUR 114.69 109.23 109.23
EUR 115.12 109.64 109.64
EUR 114.31 108.87 108.87
EUR 114.67 109.21 109.21
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EUR 129.51 123.34 123.34
EUR 130.57 124.35 124.35
EUR 131.10 124.86 124.86
EUR 130.79 124.56 124.56
EUR 131.18 124.93 124.93
EUR 131.40 125.14 125.14
EUR 130.46 124.25 124.25
EUR 130.17 123.97 123.97
EUR 130.54 124.32 124.32
EUR 129.13 122.98 122.98
EUR 127.33 121.27 121.27
EUR 127.37 121.30 121.30
EUR 127.87 121.78 121.78
EUR 129.45 123.29 123.29
EUR 128.80 122.67 122.67
EUR 128.29 122.18 122.18
EUR 128.90 122.76 122.76
EUR 127.33 121.27 121.27
EUR 128.86 122.72 122.72
EUR 129.79 123.61 123.61
EUR 129.30 123.14 123.14
EUR 130.07 123.88 123.88
EUR 129.89 123.70 123.70
EUR 128.73 122.60 122.60
EUR 128.75 122.62 122.62
EUR 129.01 122.87 122.87
EUR 129.31 123.15 123.15
EUR 130.06 123.87 123.87
EUR 130.91 124.68 124.68
EUR 131.15 124.90 124.90
EUR 131.05 124.81 124.81
EUR 131.71 125.44 125.44
EUR 132.24 125.94 125.94
EUR 132.31 126.01 126.01
EUR 132.28 125.98 125.98
EUR 132.64 126.32 126.32
EUR 133.29 126.94 126.94
EUR 133.35 127.00 127.00
EUR 133.20 126.86 126.86
EUR 133.41 127.06 127.06
EUR 133.02 126.69 126.69
EUR 132.75 126.43 126.43
EUR 132.93 126.60 126.60
EUR 133.29 126.94 126.94
EUR 133.04 126.70 126.70
EUR 132.54 126.23 126.23
EUR 132.56 126.25 126.25
EUR 132.58 126.27 126.27
EUR 132.55 126.24 126.24
EUR 132.68 126.36 126.36
EUR 132.20 125.90 125.90
EUR 131.19 124.94 124.94
EUR 131.00 124.76 124.76
EUR 131.73 125.46 125.46
EUR 131.73 125.46 125.46
EUR 131.29 125.04 125.04
EUR 131.36 125.10 125.10
EUR 131.37 125.11 125.11
EUR 132.17 125.88 125.88
EUR 132.31 126.01 126.01
EUR 133.09 126.75 126.75
EUR 133.27 126.92 126.92
EUR 133.41 127.06 127.06
EUR 132.80 126.48 126.48
EUR 133.08 126.74 126.74
EUR 133.21 126.87 126.87
EUR 133.69 127.32 127.32
EUR 133.58 127.22 127.22
EUR 133.07 126.73 126.73
EUR 132.76 126.44 126.44
EUR 132.38 126.08 126.08
EUR 132.66 126.34 126.34
EUR 132.97 126.64 126.64
EUR 133.59 127.23 127.23
EUR 133.75 127.38 127.38
EUR 134.16 127.77 127.77
EUR 134.04 127.66 127.66

Opportunities

  • Flexible investment policy without benchmarking.
  • Risk is broadly diversified by investing in a range of asset classes (e.g. equities, bonds, convertible bonds and precious metals indirect). Market potential can be exploited by investing across a wide range.
  • Investing in assets denominated in a foreign currency can have a positive impact on unit values as a result of exchange rate movements.
  • Derivatives can be used to increase potential yields.
  • Precious metals (indirect) (e.g. in the form of gold) can be used to increase potential yields.

Risks

  • Market risks: The securities in which the Management Company invests the sub-fund assets present opportunities for gain but also the possibility of risk. If a sub-fund invests directly or indirectly in securities and other assets, it is subject to many general trends and tendencies on the markets, which are sometimes attributable to irrational factors, particularly on the securities markets. Losses can occur when the market value of the assets decreases against the cost price. If a unit holder disposes of units in a sub-fund at a time when the quoted price of the sub-fund assets is less than at the time of investment, then the unit holder will not recover the full value of the investment. While each sub-fund constantly strives to achieve growth, growth cannot be guaranteed. The risk exposure of the investor is, however, limited to the sum invested. There is no obligation to make additional capital contributions beyond investors' investments.
  • Currency risks: If a sub-fund holds assets which are denominated in foreign currencies, it shall be subject to currency risk. In the event of a devaluation of the foreign currency against the reference currency of the subfund, the value of the assets held in foreign currencies shall fall.
  • Credit risks: The fund may invest part of its assets in bonds. The issuers of these bonds could become insolvent, causing the bonds to lose some or all of their value.
  • Interest change risks: Investing in securities at a fixed rate of interest is connected with the possibility that the current interest rate at the time of issuance of a security could change. If the current interest rate increases as against the interest at the time of issue, fixed rate securities will generally decrease in value. Conversely, if the current interest rate falls, fixed rate securities
  • will increase.
  • Risks relating to the use of derivatives: The fund may enter into derivative transactions for the purposes listed in the KIID and the sales prospectus. This means increased opportunities, but also increased risk of losses. The use of derivatives to hedge against losses may also reduce the profit opportunities of the fund.
  • Risks of precious metals and commodities: Precious metals and commodities may be subject to greater price fluctuations. Trading prices may also fall.

Information regarding limited distribution


The English translation is only for the purpose of convenience.

The use of the distribution partners page is only permitted for distribution partners. The information provided in this area will be treated confidentially and is only intended for authorised third parties. The obligation to maintain confidentiality does not apply to information that is already generally accessible.

The information contained in the website from Flossbach von Storch AG is intended solely for German investors whose residence, registered office or centre of administration is in Germany. The information contained herein is not intended for publication, use or distribution by any person in a country in which a fund is not authorised for distribution. In particular, the shares of this fund may therefore not be offered for sale or sold within the United States of America (USA), to or on behalf of US citizens, or to or on behalf of US persons residing in the USA. The content shown is for informational purposes only. In particular, it does not constitute an offer to sell, purchase or subscribe to other assets. In the event that a person, whose residence or office is located abroad, is able to access the website of Flossbach von Storch AG and the information contained within, Flossbach von Storch AG does not accept any guarantee or liability that the information contained complies with the relevant applicable legal provisions of the respective country.