Wertentwicklung

Jährliche Performance
2022  -6,56%
2021   1,84%
2020   2,72%
2019  -2,07%
2018   3,75%
Mehr...

Eckdaten

Allgemeine Fondsdaten

ISIN
FR0011023910
WKN
A113HZ
Währung
Euro
Ausschüttungsart
Ausschüttend
Steuerklasse
blütenweißer Fonds
Auflagedatum
01.04.2011
Geschäftsjahresbeginn
1. January
KAG
PHILEAS ASSET MANAGEMENT SAS
Domizil
Frankreich
Depotbank
CACEIS Bank 1-3
Fondsmanager
Ludovic LABAL, Cyril BERTRAND

Fokus, Kosten und Bewertung

Kategorie
Alternative Investments, Hedgefonds Single Strategie
Region
Europa
Performancegebühr
20%
Rücknahmegebühr
0%
Clean-Share
Ja
Mindestkaufvolumen
€ 100.000,00
Risiko-Ertrags-Profil
SRI 2
Nachhaltigkeit SFDR
Artikel-8-Fonds
The objective of the Fund is to deliver, over the recommended investment period, absolute performance, decorrelated from equity markets, with lower volatility than equity markets gauged by the DJ Stoxx 600 index. The type of financial investment management undertaken is "Long/Short equity". This type of investment management is based on a discretionary stock-picking process combining: ? long positions in stocks considered undervalued ("Long" portfolio) ? short positions in stocks considered overvalued, as a hedge against the long positions ("Short" portfolio) Net portfolio exposure to the equity market ranges between -20% and +20% of assets. Gross exposure (Long + Short) is limited to 200%.

So wird investiert

Anlageklassen

Länder

Top-Ten Titel

Worldline
3,80%
Danone
2,80%
Thales
2,80%
Saint-Gobain
2,40%
JC Decaux
2,10%

Gleicher Fonds mit unterschiedlichen Kosten

1 Tranchen Kosten
Phileas L/S Europe R
ISIN
FR0011024298
WKN
A1JDD6
4,49%