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Carmignac Investissement A CHF Acc Hdg

139,26
-0,20
-0,14%
20/04/2018
5 ans
  • Clôture précédente

    139,46

  • Actif net

    10,44Mio.

  • Rendement

    0,00%

  • Frais d’acquisition d’entrée

    4,00

  • Dépenses

    2,00%

  • Catégorie

    Global Equity - Currency Hedged

  • Risque Morningstar

    -

  • Évaluation Morningstar -
Profil

Nom de l'émetteur

Carmignac Gestion

Style de fonds

Ouvert

Gestionnaire de fonds

Edouard Carmignac

Style d'investissement

Croissance élevée

The fund’s objective is to outperform the MSCI AC World Index over a recommended investment horizon of 5 years. The Fund is actively managed and invests primarily in international equities listed on stock exchanges worldwide, without excluding other transferable securities. The investment strategy is applied without restriction in terms of allocation by geographical zone, sector, type or size of security. At least 60% of the assets of Carmignac Investissement is permanently exposed to eurozone, international and emerging market equities. The allocation of the portfolio between the different asset classes and categories of UCITS (equities, balanced, bonds, money market, etc.) is based on analysis of the global macroeconomic environment and of its indicators (growth, inflation, deficits, etc.) and may vary according to the manager's expectations.

Informations d’achat

Achat initial 50 000 000
Achat initial : PER NA
Achat initial : AIP NA

Mise en place

19/06/2012

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