Objectives
The objective of this fund is to achieve above-market performance, while applying a defensive asset allocation strategy. The share class is accumulating.
Investment policy
The fund gains exposure, directly or through other funds, to bonds. The fund only invests in underlying funds where similar ESG-related processes, criteria and characteristics are applied or can be found. The fund may gain exposure to any credit quality, sector and country.
Specifically, the fund may invest up to 100% of net assets in debt securities such as bonds and money market instruments.
The fund is categorised as article 8 under SFDR and promotes environmental and/or social characteristics, as well as good governance practices, through screening, exclusions, investment analysis and decision-making as well as active ownership. The fund follows Danske Invest's responsible investment policy.
In actively managing the fund’s portfolio, the management team applies a flexible asset allocation that seeks to take full advantage of market changes and opportunities.
The fund generally expects that its holdings, and therefore its performance, may differ somewhat from those of the benchmark.
The fund may use derivatives for hedging and efficient portfolio management, as well as for investment purposes.
Recommendation: This fund may not be appropriate for investors who plan to withdraw their money within 3 years.