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Carmignac Patrimoine E EUR Acc

163,42
-0,08
-0,05%
13/10/2017
5 ans
  • Clôture précédente

    163,50

  • Actif net

    2,44Mrd.

  • Rendement

    0,00%

  • Frais d’acquisition d’entrée

    0,00

  • Dépenses

    2,18%

  • Catégorie

    EUR Moderate Allocation - Global

  • Risque Morningstar

    Moyenne

  • 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 its reference indicator over a recommended investment horizon of 3 years. The reference indicator is composed of the following indices: - 50% MSCI AC WORLD NR (USD) (the MSCI global international equities index), calculated with net dividends reinvested and - 50% Citigroup WGBI All Maturities Eur (the world bond index), calculated with coupons reinvested. The investment policy takes into account the principle of risk spreading by means of the diversification of investments. The allocation of the portfolio between the different asset classes and fund categories (equities, balanced, bonds, moneymarket, etc.) based on fundamental analysis of the global macroeconomic environment and of its indicators (growth, inflation, deficits, etc.) may vary according to themanager’s expectations. As the fund ismanaged on an active, discretionary basis, its asset allocation may differ substantially from that of its reference indicator.

Informations d’achat

Achat initial 1
Achat initial : PER NA
Achat initial : AIP NA

Mise en place

01/07/2006

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