Fund Details

Robeco Sustainable Dynamic Allocation E EUR

ISIN
LU2730330763
Provider
Robeco Institutional Asset Management BV
Close Price
€118.77 *
Lipper Rating
54321
ESG Score
Characteristics
Sustainable

* Data as of 29 July 2026

Performance

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Totalp.a.
YTD+7.26%
1 Year+12.10%+12.10%
3 Years+35.21%+10.56%
5 Years+28.58%+5.15%
10 Years+100.46%+7.20%

Past performance is not a reliable indicator of future results. The value of an investment and the income from it can fall as well as rise.

Key Facts

Asset ClassMixed Assets
Holdings ClassificationMixed Assets Global Large-Cap Core
Geographical FocusGlobal
Fund Size€213,014,514
Total Expense Ratio1.51%
CurrencyEUR
DomicileLU
ManagementstyleActive
SFDR ArticleArticle 8

Country Exposure

United States
40.1%
United Kingdom
3.6%
Japan
3.5%
Korea
2.7%
France
2.6%
Other
47.5%

Description

The fund's objective is to achieve a better return than the index. The fund has a relatively high risk profile and uses asset allocation strategies mainly investing directly in equities and taking exposure to other asset classes such as bonds, deposits and money market instruments. The asset allocat...

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