The Sub-Fund primarily invests in shares of large cap companies, listed on the worldwide markets, which
comply with the sustainable investment strategy described herebelow and offer a good investment perspective.
Up to 20% of the Net Asset Value may be held in cash. Under exceptional circumstances such as substantial
uncertainties in the financial markets this percentage may be exceeded for a short period of time.
The Sub-Fund will only use techniques and instruments relating to Transferable Securities and Money Market
Instruments to lower possible risks.