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Risks
Default risk
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Volatility
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Selling difficulty
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Stress test
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Country risks
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Other risks
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About
Managed by Lån & Spar Invest, the Lån&Spar MixInvest Balance 60 is a balanced investment fund. It operates under a "Balance 60" strategy, typically allocating approximately 60% of its assets to equities and the remaining 40% to bonds and other fixed-income instruments. This strategic asset allocation aims to strike a balance between generating capital appreciation and providing consistent income, making it well-suited for investors with a moderate risk tolerance. To ensure comprehensive diversification, the fund invests globally across a wide range of sectors and asset classes. Moreover, it actively integrates Environmental, Social, and Governance (ESG) considerations into its investment decisions, aligning with the requirements of Article 8 of the SFDR.