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Investment Objective and Restrictions

The investment objective of this Sub-Fund is to generate current income and to achieve an increase in long-term capital while ensuring risk diversification.

Methodology

The fund shall invest in a diversified portfolio of stocks (substantially dividend-paying), convertible securities, and debt securities. The investment strategy shall mainly focus on corporate and government bonds together with equity securities of large-to-midcap companies. The Sub-Fund may invest in investment grade, sub-investment grade, and unrated securities.

TREND
ASSET ALLOCATION
BOND RATING

Information documents and downloads

AQA UCITS Funds SICAV Prospectus

ESG Addendum to Prospectus

Offering Supplement

Fact sheet

Flexible Class A EUR Retail KID

AQA SICAV Prospetto

Offering Supplement

Flexible Class A EUR Retail KID – IT

Modulo di sottoscrizione - IT

AQA Flexible Allocation Fund - Subscription Form

AQA UCITS Funds SICAV plc – Annual Report 2023

AQA UCITS Funds SICAV plc – Interim Financials 2024

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