glossary. Information on advertised ESG features can be found here. Awards and years of experience do not guarantee investment success. You can find references to the awards here.
Fund Manager
Performance in % since inception
Price since inception
Rolling Performance over 10 Years in %
Performance in %
Opportunities & Risks
Top Ten Holdings in % of Fund Volume
Currency Exposure (% NAV)
Country allocation total portfolio (% NAV)
Top 10 Sectors in % of Fund Volume
Asset Allocation in % of Fund Volume
Investment Approach
Opportunities
Participation in international stock market performance
Special focus on responsibly operating companies
No regional restrictions - the focus can be placed on those regions whose capital market development is currently promising
Stock selection is based on fundamental, monetary and market analysis - this FMM approach has proven its worth for around 50 years
Risks
Share prices can fluctuate relatively strongly due to market conditions
The share value can fall below the purchase price at which the share was acquired at any time
The FMM method does not guarantee investment success
Country and credit risks of issuers
Responsible companies do not necessarily outperform the market as a whole
The Fund is Suitable for Investors
who want to diversify their investments across a wide range of sectors worldwide
who want to combine their equity investment with responsible action
who have a medium to long-term investment horizon and want to rely on an experienced manager