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Russell Investments Continental Europn Eqty A Acc

Classé 20 sur 38 en - Europe excepté le Royaume-Uni sur 12 mois
All calculations are in EUR unless stated

Géré par

Ronnie Sabel

Ronnie Sabel is a portfolio manager for Russell Investments, in the investment division. Based in London, Ronnie has portfolio management responsibility for many of Russell Investment’s UK and European equity multi-manager funds. As well as manager selection and fund construction, he is also involved with conducting ongoing reviews of funded managers and is also involved in the research of the broader UK and European manager universes. Prior to this role, Ronnie worked as an associate portfolio manager and senior portfolio analyst within the European team, after joining Russell Investments in 2004 as a portfolio analyst. Prior to joining Russell Investments, Ronnie spent six years with ING Investment Management in Australia, including working for Optimix, their multi-manager arm at the time, as a research analyst. Ronnie is an actuary and a CFA Charterholder.

Objectif

The Fund aims to achieve long term growth on your investment by investing in the shares of European companies (ex. U.K.), or companies that carry out a majority of their business in Europe. The Fund uses a multi-manager investment strategy. Multi-manager means that the Fund uses several different fund managers to achieve its objective. Each fund manager has a complementary investment style, with a focus on European stock markets. The Fund is broadly diversified across European countries, sectors and by market-capitalisation. A minimum of two-thirds of the Fund's value is invested in the shares of European companies.

Performance

Europe excepté le Royaume-Uni sur : 30/06/2017 - 30/06/2018

Rendement total

Performance trimestrielle

au 30/06/2018 Annuel T1 T2 T3 T4
2018 -2,3% 2,8%
2017 9,8% 6,2% 1,0% 3,9% -1,5%
2016 7,1% -5,7% -1,4% 6,2% 8,4%
2015 12,7% 17,7% -2,9% -6,7% 5,7%
2014 7,6% 5,3% 2,9% -0,2% -0,5%
2013 28,0% 5,5% 1,5% 10,7% 7,9%
2012 20,7% 10,3% -5,1% 9,0% 5,8%
2011 -14,3% 1,9% -0,2% -21,4% 7,2%
2010 13,4% 4,8% -6,5% 7,1% 8,0%
2009 29,9% -12,2% 18,0% 22,0% 2,9%
2008 -45,0% -14,3% -5,1% -13,3% -22,0%
2007 2,7% 3,0% 6,9% -4,0% -2,9%
2006 18,8% 9,4% -4,8% 6,9% 6,7%
2005 29,4% 4,8% 6,5% 9,4% 6,0%
2004 11,6% 2,3% 2,9% -1,0% 7,1%
2003 15,2% -13,4% 16,7% 1,9% 11,8%
2002 -31,4% 3,1% -14,3% -26,8% 6,0%
2001 -16,4% -10,2% 2,3% -20,8% 14,9%
2000 6,5% 9,0% 1,0% 0,0% -3,3%
1999 43,2% 7,2% 5,9% -1,8% 28,5%

Performance mensuelle

Rendement vs Risque

Enregistré à la vente

  1. Autriche
  2. France
  3. Allemagne
  4. Italie
  5. Pays-Bas
  6. Royaume-Uni

Information sur le fonds

  • Date de lancement19/01/1998
  • Taille de la share class551Mn
  • Devise de baseEUR
  • Code ISIN IE0007356250

Information pour achat

  • Minimum investissement de départ1
  • Montant minimum de versements périodiques0

Frais

  • Gestion annuelle0,80%
  • Investissement de départ0

La performance est pour la période indiquée (fin de mois à fin de mois, offre/offre, revenu brut réinvesti, calculée dans la devise indiquée).