Portfolio management lines of Symphonia SGR distributed by risk profile and investment holding period:
HIGH RISK |
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MEDIUM-HIGH RISK |
LINEA BILANCIATA EQUILIBRATA EUROTREND |
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MEDIUM RISK |
LINEA BILANCIATA CONSERVATIVA EURO LINEA BILANCIATA CONSERVATIVA EUROTREND LINEA BILANCIATA CONSERVATIVA ITALIA |
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LOW RISK |
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Short Term 1/2 Years |
Medium Term 3/5 Years |
Medium-Long Term 3/7 Years |
Long Term 5/10 Years |
This is a translation provided only for your convenience. Only the Italian text has legal value.