Model Portfolio - Balance

Model portfolio Balance offers a ready package of funds for the investor who likes to have a globally diversified portfolio with some interest bearing securities.

Objectives
The fund is normally invested with 75 percent in Ancoria Insurance funds and 25 percent in interest instruments. The fund could also invest in non-Ancoria stock funds. The fund suits the investor who is willing to take a certain risk for the possibility of a high yield. You use a long time horizon and believe that stocks are the best alternative for investing. The portfolio administrator in Ancoria Insurance manages the evaluation and re-balancing process and makes changes with help of a statistical/technical model as well as performing the final review based on fundamental analysis. Normally the re-balancing is done every three months but could sometimes be done more often.

Updated Date:2008-11-28

Fundfact
Category: Stock Fund
Risk Level: Medium
Start Date: 2006-11-10
Bankgiro: 5086-9783
Plusgiro: 1 88 25-0
   
Trading: Daily
Purchases: 1 %
Sales: 1 %
Fundchange: 125 kr
Administration: 0 %
Withdrawals: Within 10 business days
Administrator: Ancoria Insurance
Comparative index 75% MSCI World 25% T-bill rate
Index performance year to date: - 14.57 %
   

Update Date:2008-11-28

Portforlio
Investment Funds 100.65 %
Cash and other Assets - 0.65 %

Tope 10 Holdings
Ancoria Räntekonto 25.12 %
Ancoria Utdelningsaktier Sverige 13.42 %
Ancoria Kina 10.61 %
Ancoria Utdelningsaktier Usa 11.13 %
Ancoria Utdelningsaktier Europa 10.73 %
Ancoria/Hq Tillväxtmarknad 10.14 %
Ancoria/Hq Strategy 9.75 %
Ancoria/Hq Utland 9.75 %

Georgraphic
Europe 61.56 %
USA 20.55 %
Africa & Eastern Europe 8.09 %
Asia 6.21 %
Japan 1.28 %
Latin America 2.31 %

History
2006 3.36 %
2007 10.61 %

Startdatum for modellportfolio is 10 nov 2006