Asset management
Main fund
The Main fund is managed by the CFK.
The fund pursues a cautious investment policy based on an "absolute return" strategy with moderate risk. The fund seeks a return of 1% above the interest earned on savings while limiting the risk of a loss.
The asset under management is about € 500 mln.
4%-fund
The 4%-fund is managed by the CFK.
The 4%-fund seeks a nett return of 4% on yearly basis. The portfolio consists exclusively of EMU government bonds and corporate bonds.
The assets under management are about € 135 mln.