Evli Global Multi Manager 75 Fund is an allocation fund that invests globally in equities and fixed income instruments. The ratio of fixed income to equity investments will be adjusted according to the market conditions and in line with market trends. The fund’s assets will be invested primarily in ETFs (exchange-traded funds) and standardized derivatives contracts, but may also be invested in other equity and fixed income funds registered in the EEA. Depending on the market conditions, between 50% and 100% of the fund’s assets will be allocated in equities and equity funds, the neutral allocation being 75%.
Evli does not charge a subscription fee for the funds. See the redemption and switch fees here.
The benchmark index of Evli Global Multi Manager 75 will be changed on 1 July, 2015.
Read more in Finnish.
Key Investor Information Document (valid since 1 July, 2015)