The (LF) Fund of Funds – ESG Focus mutual fund invests in mutual fund units managed by top international fund managers. It has a diversified portfolio of equities and bonds that adopt ESG (environmental, social and governance) criteria. It invests over the long term. It is authorised in Luxembourg.
Investment objective
It aims to combine absolute return with equal focus on environmental, social and governance (ESG) factors, ensuring a tilt to responsible investing.
It follows a flexible allocation strategy depending on market conditions. It invests in equities and bonds through mutual funds managed by top international investment firms.
The (LF) Fund of Funds – ESG Focus mutual fund promotes environmental and social characteristics. It falls under article 8 of the SFDR on sustainability‐related disclosures in the financial services sector.
It follows a flexible asset allocation strategy:
- When the environment is favourable for risky assets, it invests 75% to 95% of its assets in equities.
- In more volatile times for the capital markets, it invests on average 60% of its assets in equities and 40% in fixed income securities (mainly through mutual funds with a similar orientation).
From time to time, it may follow an even more defensive strategy.
Investor profile
The (LF) Fund of Funds – ESG Focus mutual fund has a high risk profile. It is intended for investors with a medium/long-term horizon who seek:
- High returns from a widely diversified portfolio.
- To contribute to sustainable development and sustainability through their investment behaviour.
This is a marketing communication. Please refer to the Prospectus of the Fund and the PRIIP KID before making any final investment decisions.