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Nomura Real Return Fund (FKTJ)

Market Closed
10 Aug, 20:00
466. 85
0
0%
- Market Cap
- Div Yield
0 Volume
466.85
Previous Close
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Day Range
466.85 466.85
Year Range
465.27 478.46
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Summary

FKTJ closed Monday higher at €466.85, an increase of 0% from Friday's close, completing a monthly increase of 0.1085% or €0.51. Over the past 12 months, FKTJ stock lost -0.0741%.
FKTJ is not paying dividends to its shareholders.
The stock of the company had never split.
The company's stock is traded on 6 different exchanges and in various currencies, with the primary listing on XSTU (EUR).

FKTJ Chart

Nomura Real Return Fund (FKTJ) FAQ

What is the stock price today?

The current price is €466.85.

On which exchange is it traded?

Nomura Real Return Fund is listed on XMUN.

What is its stock symbol?

The ticker symbol is FKTJ.

Does it pay dividends? What is the current yield?

It does not pay dividends to its shareholders.

What is its market cap?

As of today, no market cap data is available.

Has Nomura Real Return Fund ever had a stock split?

No, there has never been a stock split.

Nomura Real Return Fund Profile

XMUN Exchange
Germany Country

Overview

The Nomura Real Return Fund provides a strategic investment solution tailored for individuals and institutions aiming to safeguard their capital against the eroding effects of inflation. Managed by the esteemed Nomura Asset Management, the fund seeks to deliver inflation-protected returns through a diversified investment portfolio. It focuses on maintaining and enhancing the purchasing power of investors’ capital by investing across various asset classes, including equities, bonds, commodities, and real estate securities. The Nomura Real Return Fund's dynamic approach to asset allocation and investment selection positions it as a valuable tool for investors aiming for long-term growth and stability, even amidst fluctuating economic conditions and inflationary pressures.

Products and Services

  • Inflation-Protected Returns

    The primary goal of the Nomura Real Return Fund is to provide returns that not only keep pace with inflation but also aim to outperform it. This ensures the preservation and enhancement of the purchasing power of the investors' capital over time. By offering inflation-protected returns, the fund serves as an essential investment vehicle for those looking to shield their wealth from the diminishing effects of inflation.

  • Diversified Investment Portfolio

    Understanding the importance of diversification in wealth preservation and growth, the Nomura Real Return Fund invests in a wide array of asset classes. This includes equities, bonds, commodities, and real estate securities, ensuring that the fund is well-positioned to perform across various economic scenarios. The diversified nature of the portfolio helps in spreading risk and capitalizing on opportunities in different markets and sectors, thereby aiming for consistent performance over time.

  • Dynamic Asset Allocation

    In response to changing market conditions and inflationary trends, the Nomura Real Return Fund employs a dynamic approach to asset allocation. This strategic rebalancing of asset allocation enables the fund to adapt to economic cycles, inflation variations, and shifting market landscapes, minimizing risks and optimizing returns. Such an adaptable strategy is crucial for maneuvering through the complexities of the financial markets and securing favorable outcomes for the investors.

  • Focus on Inflation-Impacted Sectors

    The fund strategically emphasizes investment in sectors that are significantly influenced by inflation trends, such as energy, materials, and consumer goods. By focusing on these key sectors, the Nomura Real Return Fund aims to benefit from economic cycles and inflationary pressures, leveraging these conditions to achieve superior returns. This sector-specific approach is instrumental in identifying and capitalizing on investment opportunities that exhibit potential for growth and resilience against inflation.

Contact Information

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