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Berenberg-1590-Flexible Allokation (A)

The Berenberg-1590-Flexible Allokation is an asset-managing fund investing internationally in major equity markets and liquidity with a focus on Europe.

The diversified equity portfolio consists of single stocks, actively managed mutual funds and passive Exchange Traded Funds (ETFs).

Based on a top-down investment approach and taking into account macroeconomic, fundamental and technical indicators, the equity investment ratio as well as the regional and sector allocation are managed.

In the bottom-up approach, our equity specialists identify undervalued, dividend-yielding value stocks using a systematic stock selection process.

This fund is an exclusive product which can be acquired only by clients of Berenberg and via selected marketing partners.

This information is not directed at US individuals and only to clients domiciled in those countries where this fund is admitted to public distribution.

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Investment objective

high earnings expectations resulting primarily from market opportunities

Potential rewards
above average returns

high risk of loss from stock, interest rate, and currency fluctuations; potentially high counterparty risk



Other share class

distributing (Class B)
A0RC5G / DE000A0RC5G8

Hintergrund Berenberg Wappen