Hi,
I’m quite curious.
What strategy do you use with finpension/VIAC in your various portfolios ?
- Global 100
- Global 80
- Global 60
- CH 100
- CH 80
- CH 60
- ESG 100
- ESG 80
- ESG 60
- Custom strategy - Global 100 without currency hedging
- Custom strategy - 3 funds - MSCI World ex CH + MSCI World ex CH Small Cap + MSCI World Emerging Markets
- Custom strategy - 1 fund - MSCI World ex CH
- Custom strategy - 1 fund - MSCI World Quality ex CH
- Other
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