The aim of the Arbor Invest - Systematik is to achieve above-average participation in the appreciation of international equity markets. Our management approach takes into account current trends and limits risk thanks to flexible management of the investment or equity ratio.
The fund assets are diversified worldwide in other funds and ETF´s and in the following market segments: industries, themes, Europe, international incl. USA, Asia incl. Japan and Emerging Markets.
Investment strategy and fund information
Product Information Sheet (KIID)
Intructions for the product information sheet (KIID)
Long-term stable returns with a conservative investment strategy
In times of negative interest rates, investors in the bond market have to think outside the box to achieve positive results. We will show you how to generate attractive returns with calculable risks by investing in subordinate bonds.