Mediobanca Systematic Diversification

Features

Flexible sub-fund subject to controlled volatility which invests in the equity and bond markets, with the objective of keeping the contribution to the risk of the underlying balanced. Asset allocation responds flexibly  to the trends and the market opportunities with a  systematic investment process. The Sub-fund uses an Asset Allocation rule based on “Risk Parity”, a management approach that focusses on the allocation of risk and not on the allocation of weights, with the goal of building a genuinely balanced portfolio The investment in individual asset classes is made through the construction of “smart beta” portfolios, i.e. portfolios constructed with alternative weighting methods from market standards, which make it possible to obtain the best risk/return ratio, thanks to diversification that cannot be achieved through ratios constructed by capitalisation.

NAV PRICE

Mediobanca Systematic Diversification
Date11/19/2024
PriceShare120.76 €
Historical data
Date
Value €
11/18/2024
120.754
11/15/2024
121.019
11/14/2024
120.782
11/13/2024
121.054

Mediobanca Systematic Diversification
Date11/19/2024
PriceShare123.164 €
Historical data
Date
Value €
11/18/2024
123.157
11/15/2024
123.424
11/14/2024
123.181
11/13/2024
123.457

NOTICES
PERFORM. SCENARIOS

Mediobanca Systematic Diversification

LU0488314948

Mediobanca Systematic Diversification

LU0668369910

 

PAST PERFORM.

Mediobanca Systematic Diversification

LU0488314948

Mediobanca Systematic Diversification

LU0668369910