Sustainable Quality Stocks
Monthly
Open end
DB Flagship Fund combines a portfolio of approximately 40 sustainable, high-quality stocks with an options strategy to manage risk. These stocks are significantly more sustainable and less polluting, while offering an attractive financial return. The risk-management approach is designed to capture more than two-thirds of rising markets, while reducing losses in declining markets by approximately 50%. Over the 2021–2024 period, performance notably exceeded that of the broader equity markets.
All mandatory information can be provided on request with a copy and, if applicable, the costs involved. The Fund Manager shall prepare a monthly statement containing an explanation of: (i) the total value of the investments of the Fund; (ii) an overview of the composition of such investments; (iii) the number of outstanding Participations; and (iv) the most recently determined net asset value of the Participations, indicating when the determination of the net asset value took place and with a period of at least one week between the times of preparation, and shall publish such statement on its website for the benefit of the Participants. The statement shall be co-signed by the Custodian. The Fund Manager shall provide this statement to Participants upon request at cost price.

