Technology
The Fund’s investment objective is to achieve medium to long-term capital appreciation through the active management of a diversified portfolio of equity and fixed income funds. The portfolio has a high exposure to equity securities issued by companies operating in the technology and communications sectors, offering next-generation IT and digital services. The portfolio average equity exposure is around 30% for the Conservative risk class, 60% for the Balanced and 90% for the Aggressive.
To find out more about the fund profiles, take a look at the FAQ.
AZ Allocation - Technology Conservative
ISIN: LU2279429836
Ticker: AZATCAE LX Equity
NAV:
Base currency: EUR
Dealing Frequency: Daily
SRI:
ESG Rating
Fund details
Launch date: 10/01/2022
AUM:
Minimum subscription /
Minimum additional deposit:
€10 / €10
Annual management fee: 0,85%
AZ Allocation - Technology Balanced
ISIN: LU2279429596
Ticker: AZATBAE LX Equity
NAV:
Base currency: EUR
Dealing Frequency: Daily
SRI:
ESG Rating
Fund details
Launch date: 10/01/2022
AUM:
Minimum subscription /
Minimum additional deposit:
€10 / €10
Annual management fee: 0,90%
AZ Allocation - Technology Aggressive
ISIN: LU2279429166
Ticker: AZATAAE LX Equity
NAV:
Base currency: EUR
Dealing Frequency: Daily
SRI:
ESG Rating
Fund details
Launch date: 10/01/2022
AUM:
Minimum subscription /
Minimum additional deposit:
€10 / €10
Annual management fee: 1,00%