Allocation Stable
About the fund

Danske Invest Allocation Stable invests primarily in other mutual funds – within both the bond and equity segments as well as alternative investments. The investment style is suitable for the conservative investor.

The most important parameter to consider in an investment process is the asset allocation, i.e. primarily the distribution between bonds and shares. Consequently, it is important to consider on a regular basis how your investments are allocated – “Stable” has a constant focus on this issue. By including other asset classes such as commodities and hedge funds, we aim to provide additional opportunities for enhanced returns or better diversification.

We select the best fund managers according to their specialities and group all the star performers in one portfolio. When choosing mutual funds, we focus on historic returns, the continuity of returns, and several qualitative measures such as investment process and good communication with the fund. In accordance with a conservative long-term investment policy, we create a diversified portfolio consisting primarily of bonds.

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About the fund
Fund report
Asset allocation
Historical returns
Annual returns and dividends
Risk profile
Basic information
Downloads
Fact sheet
Brochure

The documents are in PDF format which can be read with Adobe Acrobat Reader from http://www.adobe.com
Today's figures
NAV-date30-08-2010
NAV24.772 EUR
Change EUR -0.2 %
Return YTD EUR5.1 %