• ERGO 25 Moderate

    The primary objective of the investment program to adopt a conservative investment approach by allocating 25% of its assets to equity funds and 75% to bond funds. This strategy aims to prioritize stability and income generation while maintaining a modest exposure to equities.

  • ERGO 50 Balanced

    The primary objective of the investment program to adopt a conservative investment approach by allocating 25% of its assets to equity funds and 75% to bond funds. This strategy aims to prioritize stability and income generation while maintaining a modest exposure to equities.

  • ERGO 75 Growing

    The main goal of the investment program is to pursue a growth-oriented strategy by allocating 75% of its assets to equity funds and the remaining 25% to bond funds. This strategy aims to maximize the potential for returns through a predominantly equity-focused approach while maintaining a level of stability through bonds.

  • ERGO 100 Active

    The investment program is designed for an aggressive growth strategy, investing up to 100% of its assets in equity funds whereas portfolio is diversified between different regions of the world. Additional diversification effect is achieved by allocating small portion in gold. However, this approach seeks to maximize potential returns which means higher level of associated risk.