LFIS Vision UCITS - Diversified Market Neutral (Class I USD) (LU1012218902)

Wertentwicklung

Eckdaten

Allgemeine Fondsdaten

ISIN
LU1012218902
WKN
A2APPE
Währung
US Dollar
Ausschüttungsart
Thesaurierend
Fondsvolumen
54.38 Mio. EUR
Auflagedatum
11.05.2016
Geschäftsjahresbeginn
1. June
KAG
La Française Inv.Sol
Domizil
Luxemburg
Depotbank
BNP Paribas S.A.
Fondsmanager
LFIS Capital

Fokus, Kosten und Bewertung

Kategorie
Alternative Investments, Hedgefonds Multi Strategie
Region
Global
Laufende Kosten
0,00%
Performancegebühr
20%
Managementgebühr
0,6%
Administrationsgebühr
0,07%
Rücknahmegebühr
0%
Depotgebühr
0,1%
Clean-Share
Ja
The Fund's investment objective is to seek stable returns with a low correlation to traditional markets and a target annualized volatility of between 5% and 10% under normal market conditions (it being understood that the annualized volatility realized by the Fund could be higher or lower). The Fund's investment policy incorporates the consideration of certain ESG risks and characteristics through the application of investment screens aimed at restricting investments related to certain industrial sectors, including controversial weapons, tobacco and thermal coal.

So wird investiert

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Länder

Gleicher Fonds mit unterschiedlichen Kosten