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Modern Multi-Asset Fund of Funds

Multi-asset funds include multiple asset classes. These respond differently to developments in the capital markets.

Fund Spotlight

Fund Spotlight

For investors who want a balanced combination of stability and potential returns—especially during retirement.

Funds with Monthly Distributions

For investors who want a regular, predictable income stream from their investment.

What Sets These Fund of Funds Apart

Broad diversification across all major asset classes

The portfolio is diversified across various asset classes, such as stocks, bonds, and absolute-return strategies. This diversification reduces dependence on the performance of individual markets and contributes to the portfolio's stability.

Flexibility Through Absolute-Return Components

The inclusion of absolute-return components opens up the possibility of generating returns that are less dependent on general market conditions. This, in particular, increases flexibility in the selection of defensive investments.

From conservative to dynamic

Depending on your personal investment profile, there are multi-asset funds with different investment strategies available. This means there is a suitable solution for every investment need.

Which fund is right for which investor?

This allows us to categorize our funds of funds based on investor profile, risk tolerance, and investment horizon.

Sauren Global Defensiv

DefensiveGlobalCapital Preservation

A conservatively managed fund of funds with broad diversification—for investors seeking long-term stability.

Risk Indicator Synthetic Risk and Return Indicator (1 = lower risk, 7 = higher risk)
1 2 3 4 5 6 7

Sauren Ruhestandsfonds

RetirementPredictabilityModerate

For investors who want a balanced combination of stability and potential returns—especially during retirement.

Risk Indicator Synthetic Risk and Return Indicator (1 = lower risk, 7 = higher risk)
1 2 3 4 5 6 7

Sauren Global Balanced

BalancedGlobalLong-term

For investors seeking a balance between return and risk.

Risk Indicator Synthetic Risk and Return Indicator (1 = lower risk, 7 = higher risk)
1 2 3 4 5 6 7

Sauren Emerging Markets Balanced

Emerging marketsBalancedDiversification

For investors who want to gain exposure to the opportunities in emerging markets through a broadly diversified portfolio.

Risk Indicator Synthetic Risk and Return Indicator (1 = lower risk, 7 = higher risk)
1 2 3 4 5 6 7

Sauren Global Stable Growth

DynamicGlobalStock Focus

For investors who want to combine growth with strategic diversification.

Risk Indicator Synthetic Risk and Return Indicator (1 = lower risk, 7 = higher risk)
1 2 3 4 5 6 7

Let's talk

Whether you're a distribution partner or an investor, we'll answer your questions about our approach, our funds, and their classification, and show you how we make decisions.

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