abrdn SICAV II - Multi-Asset Climate Opportunities Fund
D Acc EUR
ISIN: LU2350869561 , SEDOL: BMZ5K70 , Valoren: 112230209
Fund objective
The investment objective of the Fund is to generate growth over the long term (5 years or more) by investing in a diversified portfolio of equities and corporate bonds (loans to companies) issued by companies whose core business enables the transition to a sustainable low carbon economy. To achieve that objective, a key determinant of inclusion will be those activities identified by the EU Taxonomy as Sustainable Activities. The Fund aims to contribute to the long-term goals of the Paris Agreement by investing only in companies that derive substantial revenues from products and services that enable the global transition to a sustainable zero carbon economy. The Fund is actively managed and its holdings are not selected with reference to a benchmark index nor does it aim to outperform any benchmark. The performance of the Fund (before charges) can be compared over the long term (5 years or more) against the Morningstar Moderate Allocation Global Sector Average (EUR) return due to a similar expected performance profile. Due to the Multi Asset Climate Opportunities Investment Approach, the Fund's performance may deviate significantly from that of the Morningstar Moderate Allocation Global Sector in the short term.
Performance
Holdings
Key facts
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Risk and reward profile
This indicator reflects the volatility of the fund's share price. See the relevant UCITS Key Investor Information Document (KIID) or PRIIPs Key Information Document (KID) for details