Financial model

Version:
29/8/24

Numerous economic scenarios outlined

So that we know exactly how our funds are moving due to market changes.

Thousands of investment strategies calculated

Based on numerous economic scenarios.

Broad portfolios with different levels of risk

Our model invests in a mix of equity, bond and money market funds.

Now available to you.

Vive has built a financial model that creates thousands of investment strategies based on numerous economic scenarios. This model assembles a mix of funds that perfectly matches your goals, wishes and situation. Should your plan change, our model instantly calculates a new strategy to suit your new settings.

A strong investment portfolio consists of a broad portfolio with different types of investments. This way the risk is spread as much as possible. Our investments are divided into various asset classes. These in turn are spread across different geographical regions and sectors. Our financial model invests your money in a mix of equity, bond and money market funds. All carefully selected on cost profile, performance, risk and sustainability.

Also, the estimates of this model are updated quarterly to reflect the latest market developments.

Get a detailed explanation without obligation

Get a complete picture of the pension landscape in the Netherlands in just 30 minutes. Includes an overview of all options and choices.

30 min.
Google Meet
Paul Spronk