FidelityEuro Balanced Fund Currency: EUR Previous Risk Rating: 3 New Risk Rating: 3 Fund Name: Fidelity Funds European Dynamic Growth Fund A-EUR (Cash) Currency: EUR Previous Risk Rating: 4 New Risk Rating Schroders uses cookies to personalise and improve your site experience. When selecting Accept and continue’ you accept all categories of cookies. When selecting "Manage cookies" you are given the opportunity to accept only the categories of your choosing. Please be aware that certain types of cookies are necessary to browse our web site and therefore cannot be disabled. These necessary cookies do not collect any personal information about you. For more information on what cookies we use and how they affect you, please visit our “Cookie policy”.
SchroderInternational Selection Fund (the 'Company') is an open-ended 'umbrella' company incorporated under Luxembourg law, which enables investors to choose from 'Funds' (specific portfolios of assets and liabilities within the Company having their own net asset value and

Investment Objective To deliver a total return through a diversified range of investment strategies with an emphasis on sustainability. The portfolio aims to reduce the overall carbon intensity of the portfolio, with improved sustainability metrics compared to market indices. Description Schroder Sustainable Dynamic Balanced1 seeks to provide a real return ahead of the benchmark 65% MSCI World / 35% Barclays US Aggregate Bond Index. The fund is managed by the Schroder Multi-Asset Diversified Growth team. The team utilize sustainable or integrated in-house equity and fixed income strategies for active security selection. 1Potential launch of the Sustainable Dynamic Balanced strategy in 2021 subject to initial funding. There can be no guarantee any objectives will be achieved.

BlackRockJapan Flexible Equity Fund (EUR) C2. Name. AB - Eurozone Equity Portfolio (EUR) A Aberdeen Global - All Chinese Equity Fund (USD) A2 Aberdeen Global - Asia Pacific Equity Fund (USD) A2 Aberdeen Global - Asian Local Currency Short Duration Bond Fund (USD) A2 Aberdeen Global - Asian Smaller Companies Fund (USD) A2 Aberdeen Global Skip to content BloombergConnecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world For Customers SupportAmericas+1 212 318 2000EMEA+44 20 7330 7500Asia Pacific+65 6212 1000 Company Communications Follow Products Industry Products Media Media Services Company Communications Follow Products Industry Products Media Media Services BloombergConnecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world For Customers SupportAmericas+1 212 318 2000EMEA+44 20 7330 7500Asia Pacific+65 6212 1000 Markets Economics Industries Technology Politics Wealth Pursuits Opinion Businessweek Equality Green CityLab Crypto SCHSDBFIJSchroder Dynamic Balanced Fund1, ClosedAs of 06/15/2023 EDTBefore it's here, it's on the Bloomberg More SchroderSustainable Future Multi-Asset - The Fund aims to provide capital growth and income of the ICE BofA Sterling 3-Month Government Bill Index plus 3.5% per annum (before fees have been deducted) over a five to seven year period by investing in a diversified range of assets and markets worldwide which meet the Investment Manager's sustainability criteria.
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PTSchroder Investment Management Indonesia. Bank Kustodian. PT Bank HSBC Indonesia. Jenis Reksadana. Campuran. Tanggal Peluncuran. 10 Juni 2014. Minimum Pembelian Pertama. Rp 100.000. Minimum Pembelian Selanjutnya. Rp 100.000. Minimum Penjualan Kembali. Rp 100.000. Minimum Pengalihan. Rp. 100.000. Minimum Saldo Unit Penyertaan setelah penjualan/pengalihan secara parsial
rabu19 februari 2020. 18. reksa dana. 18 februari 2020. nilaiaktiva 30 hari 1tahun. riil. nilaiaktiva 30 hari 1tahun. riil. nilaiaktiva 30 hari 1tahun
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Aunit price is the dollar value of each unit in the investment option on the specified date. Unit prices are calculated by dividing the net value of the investment option's assets by the number of units issued. Unit prices may go up or down on a daily basis, as a result of movements in the value of the assets underlying each fund.
Fundof Funds - True Potential Schroder Balanced 4.00% = Asia Pacific Stocks ex Japan 1.8% = Alternative Dynamic - True Potential Goldman Sachs Balanced 12.50% = Emerging Market Stocks 5.5% = Income Building - True Potential Goldman Sachs Income Builder 7.00% = Global Bonds 11.4% = Adaptive Investment - True Potential UBS Balanced 17.00% =
Thefund name changes do not affect the fund details, identifiers, risk rating or performance and investors in these funds are not required to do anything as a result of the fund name changes. We have removed Aegon from the following fund names and, in some instances, have replaced it with CreateRange or 5forLife: 5forLife BlackRock Tracker 1 .
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  • schroder dynamic balanced fund