An Overview of All Fund of Funds
We offer 13 fund of funds with clear risk/return profiles that have repeatedly won awards for their sustainable performance.
What Sets Our Fund of Funds Apart
We invest in managers, not in markets
:quality(80))
For each fund, we carefully select fund managers who stand out for their experience and clear decision-making. It is not an index that determines the outcome, but the people behind it.
The Right Fund for Every Investment Goal
:quality(80))
From defensive capital preservation to sustainable strategies and opportunity-oriented equity funds: 13 fund of funds cover a range of objectives and risk profiles.
Dispersion on two levels
:quality(80))
Each fund brings together many specialized managers, who in turn invest broadly. This spreads the risk across two levels.
Find the Right Fund of Funds Based on Your Investment Objective
Funds of funds invest in selected funds and each follow a clear strategy. They differ in terms of investment objective, risk profile, and investment horizon.
Modern Multi-Asset Fund of Funds
Multi-asset funds include multiple asset classes. These respond differently to developments in the capital markets.
Sauren Ruhestandsfonds
Sauren Global Balanced
Sauren Emerging Markets Balanced
Sauren Global Stable Growth
Equity-Focused Fund of Funds
A fund of funds with a clear focus on equity strategies and long-term growth potential.
Sauren Global Growth
Sauren Global Opportunities
Absolute-Return Fund of Funds
Strategies that aim to generate positive returns regardless of market conditions.
Sauren Global Hedgefonds
Sauren Dynamic Absolute Return
Sauren Absolute Return
Responsible Fund of Funds
Sustainable fund of funds that select funds based on environmental and social criteria.
Sauren Responsible Balanced
Sauren Responsible Growth
Sauren Responsible Defensiv
Frequently Asked Questions
Here you'll find answers to frequently asked questions. Feel free to contact us by email at any time.
This is a marketing advertisement. Please read the prospectus and the key investor information document—which must be provided to every investor prior to purchase—before making a final investment decision. This information does not constitute an offer or a solicitation to purchase investment fund shares. Please refer to the current prospectus for information on opportunities and risks. The binding basis for purchasing a fund consists of the Key Investor Information Document, the currently valid prospectus containing the terms and conditions of the contract, the management regulations or investment terms, the most recently published and audited annual report, and the most recently published unaudited semi-annual report, all of which are available free of charge in German from Sauren Fonds-Service AG, P.O. Box 10 28 54, 50468 Cologne (see also www.sauren.de) and at the management company IPConcept (Luxembourg) S.A., société anonyme (see also www.ipconcept.com) or—for the Sauren Dynamic Absolute Return fund—at the asset management company HANSAINVEST (see also www.hansainvest.de). The management company may decide to revoke the arrangements it has made for the distribution of the funds in accordance with Article 93a of Directive 2009/65/EC and Article 32a of Directive 2011/61/EU. Further information on investor rights is available in German on the website of the management company IPConcept (Luxembourg) S.A. (https://www.ipconcept.com/ipc/de/anlegerinformation.html) or—for the Sauren Dynamic Absolute Return fund—at the asset management company HANSAINVEST (https://www.hansainvest.de/de/unternehmen/compliance/compliance-details/zusammenfassung-der-anlegerrechte) is available for viewing. Tax treatment depends on the individual circumstances of each investor. In particular, recipients are advised to review the information—if necessary, with the assistance of an advisor—to determine its compatibility with their personal circumstances and to assess any legal, regulatory, tax, and other consequences. No assurance can be given that the investment objectives will be achieved. This promotional communication is intended exclusively for prospective investors in countries where the funds mentioned are authorized for public distribution.