Conservative strategy 15

A portfolio where assets from money market and securities market funds prevail, supplemented with a small percentage of stock market funds. Limited risk, expected rate of return higher than bank deposit profitability.

 

Neutral strategy 55

A portfolio which is built based on stock, securities and money funds. Portfolio diversification based on asset classes and markets. Possible significant fluctuations of unit value and high rate of return in the long term.

Aggressive strategy 85

A portfolio where assets from stock exchange funds prevail, supplemented with a small percentage of securities market funds. Possible significant fluctuations of unit value and high rate of return in the long term.