Index Serie 25



  • 25% equities and commodities
  • 75% bonds

Investment objective

This investment plan is broadly diversified globally. It aims for limited value fluctuations coupled with moderate income opportunities. Thanks to the selection of cost-efficient funds, income opportunities are optimised.

In order to secure income and reduce risk, the fund account savings are gradually reallocated to a low-risk investment in the last five years of the contract.

Current Quarterly Report


Quarterly Reports