Mixed strategies

No other decision has as great an influence on investment outcomes as the allocation of portfolio assets and the weighting of the various asset classes. Our asset allocation strategies invest in all liquid asset classes ranging from equities and fixed income securities to currencies and commodities. Anti-cyclical adjustments are made to keep the weightings of the asset classes well aligned with the underlying markets. 

Our Expertise

The award-winning StarCapital fund management team boasts decades of experience and combines that experience with internal capital market research know-how

Team multi asset strategies

Manfred Schlumberger
Dr. Manfred Schlumberger, Head Portfolio Management
  • Since 2019 a member of the Executive Board and Chief Investment Officer at StarCapital AG
  • 2017 – 2018 Member of the Executive Board and Deputy Chief Investment Officer at StarCapital AG
  • 2016 – 2017 Chief Investment Officer at Berenberg Joh. Berenberg, Gossler & Co. KG
  • 2001 – 2016 Management spokesman at BHF TRUST
  • 1994 – 2001 Executive Officer at Frankfurter Volksbank eG
  • Studies in economics, post-graduate degree in economics
Adam Choragwicki
Adam Choragwicki, CIIA, Portfolio Manager
  • Since 2018 Head of Fixed Income
  • 2016 – 2018 Senior Portfoliomanager Global Bonds und Emerging Markets Debt at StarCapital AG
  • 2015 – 2016 Senior Portfolio Manager Emerging Markets Fixed Income at Helaba Invest Kapitalanlagesellschaft mbH
  • 2007 – 2015 Portfoliomanager Global Fixed Income and Emerging Markets ati DWS Investments
  • Bank management studies, diplomas: Certified Banking Specialist, Certified International Investment Analyst
Simon Westendorf
Simon Westendorf, Portfolio Manager
  • Since 2018 Portfolio Manager at StarCapital
  • 2016 – 2017 Graduate Trainee at Deutsche Bank (Deutsche Asset Management)
  • Master's programme in Management (Finance and Accounting), Master of Science (M.Sc.)
  • Manfred Schlumberger
  • Adam Choragwicki
  • Simon Westendorf

Our investment solution

With these holistic asset allocation solutions, we offer investors UCITS-regulated investment funds with daily liquidity that are managed according to the aforementioned anti-cyclical investment strategy.

Product Date ISIN NO. NAV YTD 1YR 3YR Factsheet

StarCapital Strategy 1

> A-EUR 16.06.2021 LU0350239504 160.15 11.08% 18.78% 6.48%
  • DE

    • DE
> I-EUR 16.06.2021 LU0350239926 1,654.73 11.39% 19.33% 7.94%
  • DE

    • DE
> R-EUR 16.06.2021 LU0953720231 145.55 10.98% 18.55% 5.88%
  • DE

    • DE

Show all share classes

StarCapital Winbonds plus

> A-EUR 16.06.2021 LU0256567925 167.93 2.03% 5.90% 4.60%
  • DE

    • DE
> I-EUR 16.06.2021 LU0340592095 1,828.85 2.21% 6.29% 5.79%
  • DE

    • DE
> R-EUR 16.06.2021 LU0954219464 113.07 1.90% 5.60% 3.71%
  • DE

    • DE

Show all share classes

StarCapital Long/Short Allocator

> A-EUR 16.06.2021 LU0425811519 140.54 2.43% 4.96% -5.65%
  • DE

    • DE
> I-EUR 16.06.2021 LU1744579308 950.14 2.66% 5.49% -4.75%
  • DE

    • DE

Show all share classes