Skip directly to Accessibility Notice
NTM VanEck Multi-Asset Balanced Allocation UCITS ETF Please read important disclosure Close important disclosure true de en false false
NTM

Balanced Multi Asset ETF
VanEck Multi-Asset Balanced Allocation UCITS ETF

NTM

Balanced Multi Asset ETF
VanEck Multi-Asset Balanced Allocation UCITS ETF

ISIN: NL0009272772 copy-icon
WKN: A1JPFW copy-icon

Fund Description

The VanEck Multi-Asset Balanced Allocation UCITS ETF makes multi-asset investing easy, bringing it within reach of the average investor. By investing across stocks, bonds and real estate, it makes investments more defensive, without necessarily eating into returns. This version of the ETF is considered medium risk.

  • NAV
    €67.05

    as of 18 Mar 2024
  • YTD RETURNS
    1.97%

    as of 18 Mar 2024
  • Total Net Assets
    €35.1 million

    as of 18 Mar 2024
  • Total Expense Ratio
    0.30%
  • Inception Date
    14 Dec 2009
  • SFDR Classification
    Article 8

Overview

Fund Description

The VanEck Multi-Asset Balanced Allocation UCITS ETF makes multi-asset investing easy, bringing it within reach of the average investor. By investing across stocks, bonds and real estate, it makes investments more defensive, without necessarily eating into returns. This version of the ETF is considered medium risk.

  • One-stop-shop for your investment portfolio
  • Tailored to your risk preferences
  • Diversified across stocks and bonds from roughly 250 companies and governments
  • Annually rebalanced across equities, government bonds, corporate bonds and real estate stocks
  • A 12-year record of delivering attractive returns for investors1
  • All-in costs of just 0.3% a year


1Launched 14 December 2009. Past performance is not a guarantee of future performance. Risk factors: Credit Risk, Interest Rate Risk, Equity Market Risk



Underlying Index

Multi-Asset Balanced Allocation Index (TTMTINL)

Fund Highlights

  • One-stop-shop for your investment portfolio
  • Tailored to your risk preferences
  • Diversified across stocks and bonds from roughly 250 companies and governments
  • Annually rebalanced across equities, government bonds, corporate bonds and real estate stocks
  • A 12-year record of delivering attractive returns for investors1
  • All-in costs of just 0.3% a year


1Launched 14 December 2009. Past performance is not a guarantee of future performance. Risk factors: Credit Risk, Interest Rate Risk, Equity Market Risk



Underlying Index

Multi-Asset Balanced Allocation Index (TTMTINL)

Performance

Holdings

Portfolio

Distributions

Literature

Important Information

 
Capital Requirements Report (CRR) Download
GroMiKV Report Download
VAG Report Download
 

Index