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ABN AMRO

Active fund management

Multi Manager Mandate

  • Broad diversification
  • Access to fund managers with global reputations
  • Open architecture

A portfolio consisting of investment funds from several carefully selected fund managers.

Mandate characteristics:

With the Multi Manager Mandate, you are investing in a portfolio of global and carefully selected investment funds managed by recognised experts. By combining these fund managers, we create a solid and diversified portfolio. To this broad basis portfolio (core) we then add thematic funds (satellites) that open up extra potential. Thus, the Multi-Manager Mandate forms a so-called core-satellite portfolio. 

Using our own platform, the Portfolio Managers can track the performance of each fund manager on a daily basis, enabling them to react quickly where necessary.

This portfolio also focuses on three clear trends that will have a strong impact on economic growth over the coming decades: technological advances, demographics and the environment.

ABN AMRO

Portfolio management and sustainability

Themes such as climate change, circular economy, human rights and social entrepreneurship play an increasingly important role in our society. As a financial institution, we are aware of our responsibility in this regard. Our experts invest for you in companies that lead the way in finding and maintaining the balance between people, the environment and society. For you and for future generations.

More information and conditions

What the mandate comprises?

  • Equity
    The equity funds invest in a certain region or focus on a certain type of company, such as companies with growth potential or companies with high dividend payments.
  • Bonds
    Depending on the relevant risk profile, part of the portfolio may also include some bond funds. These funds have a relatively lower risk than equity funds. In addition to bonds with good credit ratings and different maturities (high-quality bonds), we also look at potential opportunities within the higher-risk bond segment (high-yield bonds or bonds from emerging countries).
  • Alternative investments
    Alternative investments often react differently to market developments than equity and bonds (think, for example, of investments in commodities or hedge funds). That's why our Portfolio Managers have the option of including them in your portfolio.
  • Cash
    The Portfolio Managers may also opt to hold part of the portfolio in cash.
Sustainable Financial Disclosure

Following the European Sustainable Finance Disclosure Regulation (SFDR), you can find below an overview with more information on the investment strategy and how your mandate is handling the sustainability risks. You will also find information about the ecological and social characteristics or the sustainable objective of the mandate. Finally, insight is also given into the methodology used as well as the data used for the information disclosure.

More information and conditions

What the mandate comprises?

  • Equity
    The equity funds invest in a certain region or focus on a certain type of company, such as companies with growth potential or companies with high dividend payments.
  • Bonds
    Depending on the relevant risk profile, part of the portfolio may also include some bond funds. These funds have a relatively lower risk than equity funds. In addition to bonds with good credit ratings and different maturities (high-quality bonds), we also look at potential opportunities within the higher-risk bond segment (high-yield bonds or bonds from emerging countries).
  • Alternative investments
    Alternative investments often react differently to market developments than equity and bonds (think, for example, of investments in commodities or hedge funds). That's why our Portfolio Managers have the option of including them in your portfolio.
  • Cash
    The Portfolio Managers may also opt to hold part of the portfolio in cash.

Sustainable Financial Disclosure

Following the European Sustainable Finance Disclosure Regulation (SFDR), you can find below an overview with more information on the investment strategy and how your mandate is handling the sustainability risks. You will also find information about the ecological and social characteristics or the sustainable objective of the mandate. Finally, insight is also given into the methodology used as well as the data used for the information disclosure.