Chicken_Skin_Music schreef op 20 december 2012 14:01:
30% Equity5% Skagen Global (Global
5% Banque Luxembourg Global Equity (Global)
3% Aberdeen Global Emerging Markets (Em. Markets)
2% Kempen European High Dividend (Europe)
2% Delta Lloyd Select Dividend (Europe)
2% Threadneedle European Smaller Companies (Europe ex-UK)
4% Asia Schroder Asia Absolute Return (Asia ex-Japan)
1% Henderson Horizan Japanese Smaller Companies (Japan)
2% JPM Highbridge US STEEP (North-America)
2% Robeco US Premium (EUR hedged) (North-America)
2% Vanguard US Opportunities (North-America)
20% Mix 10% Invesco Balanced Risk Allocation Fund
10% Carmignac Patrimoine
10% Bonds 5% Templeton Global Total Return
3% Pimco Global Bonds (EUR Hedged)
2% Amundi Global Aggregate
40% Alternatives 5% MAN AHL Diversified Markets EU (Managed Futures)
10% HiQ Invest Market Neutral (Market-neutral)
5% AC Risk Parity 12 Fund EUR B (Market-neutral)
5% BH Macro (Macro)
5% Amundi Volatility Euro Equities (Volatility)
5% BlueCrest AllBlue (Multiple strategies)
3% DB Physical Gold EUR Hedged (Gold)
2% Middle Europe Real Estate N.V. (Real estate)