How does Vive select the funds to invest in?
Vive's Fund Selection.
Vive invests in investment funds to make money work for you. Our funds are:
Diversified
We choose funds with a spread risk.
Performance-driven
We choose funds with an optimal balance between risk, costs, and returns.
ESG Principles
We mostly choose funds that take people, the environment, and society into account
This is how we select our funds.
To offer you, as a client, the best investment portfolio, we select our investment funds based on 7 criteria:
- Liquidity: our funds must be tradable daily.
- High degree of risk diversification: our funds must have broad risk diversification.
- Low costs: our funds must have an attractive cost profile.
- ESG-level: our funds must mostly take into account the impact on people, the environment, and society.
- Correct execution: our funds must accurately follow the benchmark.
- High-quality asset manager: our funds are managed by an asset manager with a proven track record and an ISAE 3402 certificate.
- Suitable for investors within the EU: our funds have the UCITS status and make investor information transparently available.
Furthermore, we avoid derivatives such as options and futures to prevent unnecessary risk. Want to know more about our fund selection?
Read our investment policy.

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