Our fund selection
The key information document
Further information, for example on the investment objective, the target market and the insurance benefits, can be found in the basic information sheets.
PrismaLife’s wide range of funds comprises funds with and without guarantees, managed funds and managed strategies of renowned national and international investment companies such as BlackRock, Carmignac, DJE, DWS, Flossbach von Storch, Nordea or Templeton for short, medium and long-term investment and pensions. You can choose from far more than 100 funds, including ETFs, equity funds, bond funds, money market funds, thematic funds, environmental and sustainability funds, region funds and managed mixed funds.
Sustainable wealth accumulation with PrismaLife
In 2018, with the support of our partner Unigestion, we evaluated the assets in the cover pool according to ESG criteria (environment, social, governance) and then restructured the portfolio. The aim is to reach the highest possible ESG standard without disadvantages for return, security or liquidity. The rules of the UN Principles for Responsible Investments (UN PRI) are taken as the basis for this. PrismaLife’s cover pool’s Sustainalytics ESG score as of 31 December 2018 was 73.4% and was thus above average.
We also optimise the PrismaLife strategies available for investment in the products for pensions and wealth accumulation for our customers in accordance with ESG criteria. In addition, various funds with a focus on the environment and sustainability are available in PrismaLife’s investment universe.
Our fund selection
PrismaLife’s wide range of funds comprises funds with and without guarantees, managed funds and managed strategies of renowned national and international investment companies such as BlackRock, Carmignac, DJE, DWS, Flossbach von Storch, Nordea or Templeton for short, medium and long-term investment and pensions. You can choose from far more than 100 funds, including ETFs, equity funds, bond funds, money market funds, thematic funds, environmental and sustainability funds, region funds and managed mixed funds.
Sustainable wealth accumulation with PrismaLife
In 2018, with the support of our partner Unigestion, we evaluated the assets in the cover pool according to ESG criteria (environment, social, governance) and then restructured the portfolio. The aim is to reach the highest possible ESG standard without disadvantages for return, security or liquidity. The rules of the UN Principles for Responsible Investments (UN PRI) are taken as the basis for this. PrismaLife’s cover pool’s Sustainalytics ESG score as of 31 December 2018 was 73.4% and was thus above average.
We also optimise the PrismaLife strategies available for investment in the products for pensions and wealth accumulation for our customers in accordance with ESG criteria. In addition, various funds with a focus on the environment and sustainability are available in PrismaLife’s investment universe.
The key information document
Further information, for example on the investment objective, the target market and the insurance benefits, can be found in the basic information sheets.
Please select for further fund information:
Existing clients
Interested parties