Wertentwicklung
Jährliche Performance | |
---|---|
2019 | 9,99% |
Eckdaten
Allgemeine Fondsdaten
- ISIN
- IE00BZBYWS72
- WKN
- LYX150
- Währung
- Euro
- Ausschüttungsart
- Thesaurierend
- Fondsvolumen
- 3.29 Mio. EUR
- Auflagedatum
- 31.01.2017
- Geschäftsjahresbeginn
- 1. January
- KAG
- Lyxor Asset Management SAS
- Domizil
- Irland
- Depotbank
- Societe Generale SA, Dublin Branch
Fokus, Kosten und Bewertung
- Kategorie
- Alternative Investments, Managed Futures
- Region
- Global
- Performancegebühr
- 20%
- Maximaler Ausgabeaufschlag
- 5%
- Rücknahmegebühr
- 3%
- Clean-Share
- Ja
- Mindestkaufvolumen
- € 100.000.000,00
The Fund is an active UCITS and is not managed in reference to a benchmark. The objective of the Fund is to seek capital appreciation over the medium to long term. The Fund seeks to achieve its objective by pursuing a diversified investment strategy that (i) is based on the Winton systematic trading approach and (ii) invests in a number of different instruments including debt, equity indices, interest rates and foreign exchange instruments. Financial derivative instruments (listed futures, forwards, over-the-counter contracts and/or options) are used to get exposure to those underlying assets and the Fund will allocate any excess cash to various kinds of government debt securities (including bonds and treasury bills) or deposits with high grade European or US banks.