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Multi-Strategy Pfolio Kronos MSP Def I C E Hdgiii

Ranked 406 out of 920 in - Conservative EUR over 12 months
All calculations are in EUR unless stated

Managed by

Federico Chiastra

Mark Robertson

Mark Robertson joined ING Investment Management in 2006. He is a senior portfolio manager in the multi asset team responsible for managing a range of multi-asset portfolios. Robertson was previously a senior portfolio manager for the ING Multi-Strategies Group in Sydney before relocating to The Hague in 2011. In Australia he was responsible for all multi-strategy portfolios, global equity portfolios and currency strategies managed by INGIM. Prior to joining ING he worked for UBS as a fixed income portfolio manager where he also managed the currency and derivative overlays for multi-asset portfolios. He has previously worked for Investec in Ireland and Bankers Trust in Sydney. He holds a Masters in Applied Finance from Macquarie University and a Bachelor of Science from the University of Waikato.

Ewout Van Schaick

Ewout Van Schaick was born in Brielle in the Netherlands in the early seventies. He graduated from the University of Maastricht with an MA in economics, and started his career in 1997 at ABN Amro. He then worked at NIB Capital and PGGM Investments before joining NN Investment Partners in 2007 where he is currently a portfolio manager. Outside of fund management Ewout enjoys mountain hiking and cycling.

Arjen van Niel


The objective of the Sub-Fund is to seek exposure mainly to bond and money markets directly or indirectly via open-ended undertakings for collective investment ("UCIs") and eventually through derivative instruments. Ancillary, the Sub-Fund may invest on the equity markets of all sectors. The Investment Manager’s role will be to select UCIs whose investment strategies are complementary and which ensure consistent performance in relation to the objective. Investing via UCIs whose investment policies are complementary allows a certain dilution of the risk inherent to a single UCI manager..

Showing fund performance globally. You can view performance in individual jurisdictions.


Conservative EUR over : 28/02/2017 - 28/02/2018
  • Rank 406/920 Total Return
  • Rank 135/920 Standard Deviation
  • Rank 197/920 Max Drawdown
Fund Name Currency Return
404 Orfeo, FI EUR


404 Federal Opportunite Modere EUR


406 (LF) FOF Global Low Eurobank EUR


406 Egeria Ahorro, FI EUR


406 Rural Mixto 25, FI EUR


406 Multi-Strategy Pfolio Kronos MSP Def I C E Hdgiii

Currency exposure is hedged

Currency exposure is hedged



Fund Name Currency Risk
135 Amundi Obbligazionario Piu a distribuzione A EUR


135 Starmix Konservativ T EUR


135 Multi-Strategy Pfolio Kronos MSP Def I C E Hdgiii

Currency exposure is hedged

Currency exposure is hedged



Total Return

Quarterly Performance

to 01/01/2018 Annual Q1 Q2 Q3 Q4
2017 1.6% -0.3% 0.5% 0.4% 1.0%
2016 2.6% 1.0% 0.8% 1.1% -0.4%
2015 1.2% 3.8% -3.9% 0.4% 1.1%
2014 9.9% 2.7% 2.5% 1.5% 2.9%
2013 2.6% 1.6% -1.0% 0.6% 1.4%
2012 9.9% 4.5% -0.9% 3.5% 2.5%
2011 -1.1% -0.6% 0.2% 0.0% -0.8%
2010 2.4% 2.5% -2.0% 3.7% -1.7%
2009 6.9% -1.7% 3.4% 4.4% 0.7%
2008 1.9% 2.0%

Month by Month Performance

Returns Vs Risk

Registered For Sale In

  1. Belgium
  2. Luxembourg

Fund Info

  • Launch date30/06/2008
  • Share Class size15Mn
  • Base currencyEUR
  • ISIN LU0354676297
  • Currency exposure is hedged

Purchase Info

  • Min. initial investment250,000
  • Min. regular additional investment0


  • Annual management0.80%

Performance is for the period shown (month end to month end, bid/bid, gross income reinvested, calculated in the currency and currencies indicated).