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Robeco Multi Asset Income E EUR

Ranked 15 out of 60 in - Flexible EUR over 12 months
All calculations are in EUR unless stated

Managed by

Jeroen Blokland

Jeroen Blokland is a portfolio manager with Robeco within the Robeco global allocation team. Prior to joining the Robeco global allocation team, he was employed by IRIS, the Independent Institute for Research and Investment Services of Robeco and Rabobank, as an investment strategist since 2005. He started his career at Interpolis in 2002, where he held a position as asset manager and investment strategist. Jeroen holds a Master's degree in Economics from Erasmus University, Rotterdam.

Ruud van Suijdam

Ruud van Suijdam has been a portfolio manager at Robeco since June 2011. From October 2007 to June 2011, Ruud worked for Rabobank Nederland as an analyst/ product manager for investment funds. Previous affiliations include a position as investment analyst at IRIS and a position as investment advisor at Rabobank. Ruud holds a Master's degree in Financial Economics from the University of Groningen.

Objective

The aim of the Sub-fund is to achieve long-term capital growth by using asset allocation strategies and taking global exposure to asset classes such as equities, bonds, deposits, Alternative Investments and/or other generally accepted asset classes. Besides investing in UCIs/UCITS, including UCIs/UCITS that are part of the Robeco Group, that can invest in equities, bonds, deposits and other fixed income securities, money market investments, Alternative Investments and other generally accepted asset classes, the Sub-fund may also directly invest in equities, bonds, money market instruments, deposits and financial derivative instruments.

Showing fund performance in Netherlands View performance globally

Performance

Flexible EUR over : 30/09/2017 - 30/09/2018

Total Return

Quarterly Performance

to 30/09/2018 Annual Q1 Q2 Q3 Q4
2018 -0.6% 0.7% 0.5%
2017 3.3% 1.2% -0.3% 1.0% 1.5%
2016 2.1% -0.6% 1.6% 1.0% 0.1%
2015 2.2% 5.5% -3.2% -2.8% 3.0%
2014 8.3% 0.4% 2.8% 2.3% 2.6%
2013 5.3% 3.6% -0.7% 1.2% 1.1%
2012 8.4% 4.7% 0.0% 2.9% 0.7%
2011 -2.4% -0.2% -1.8% -4.0% 3.7%
2010 9.2% 4.4% -1.1% 1.7% 4.0%
2009 9.9% -3.8% 6.3% 4.9% 2.6%
2008 -11.0% -4.8% -0.2% -2.4% -4.1%
2007 0.9% 0.0% 2.2% 0.2% -1.5%
2006 2.7% 0.8% -1.6% 2.8% 0.8%
2005 9.5% 2.1% 3.5% 2.0% 1.6%
2004 2.5% 1.9% 0.4% -0.7% 1.0%
2003 3.2% -2.3% 4.5% 0.8% 0.3%
2002 -8.3% -2.1% -5.2% -2.2% 1.0%
2001 -2.0% -4.1% 2.4% -4.9% 4.9%
2000 5.3% 2.4% 0.2% 3.4% -0.8%
1999 15.0% 4.0% 2.6% -1.1% 9.0%

Month by Month Performance

Returns Vs Risk

Registered For Sale In

  1. France
  2. Luxembourg
  3. Netherlands

Fund Info

  • Launch date09/09/2016
  • Share Class size04Mn
  • Base currencyEUR
  • ISIN LU1387747915

Purchase Info

  • Min. initial investment1
  • Min. regular additional investment0

Charges

  • Annual management0.85%
  • Initial investment0.85%

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Performance is for the period shown (month end to month end, bid/bid, gross income reinvested, calculated in the currency and currencies indicated).