
Growth Passively Managed Portfolio Plan
Focused on growth – without losing balance
€100.00€30.00
As of February 2025, in the previous 30 Years, the World All Countries Portfolio obtained a 8.56% compound annual return, with a 15.34% standard deviation. It suffered a maximum drawdown of -53.42% that required 158 months to be recovered.
As of February 2025, in the previous 30 Years, the Agressive Portfolio 1 obtained a 10.89% compound annual return, with a 12.85% standard deviation. It suffered a maximum drawdown of -42.24% that required 81 months to be recovered.