The higher the score, the riskier the fund invests.
How much capital the fund manages
To what extent a financial product considers sustainability factors and invests according to environmental, social and good governance criteria, according to the SFDR classification.
The score to what extent the fund takes into account people, the environment and society according to the MSCI ESG classification.
This mutual fund tracks the Bloomberg Euro Government Float Adjusted Bond Index as closely as possible. The Fund invests in bonds issued by Eurozone member governments that meet minimum credit criteria with a minimum maturity of at least 1 year.
The fund generally has medium risk and is suitable for investors looking to invest in the medium and/or long term. This fund is part of most portfolios.
Learn more about this fund
Read here the fact sheet.
Get a complete picture of the pension landscape in the Netherlands.
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