Inscrivez-vous pour avoir accès illimité à toute la base de données Citywire sur les gérants de fonds. L’inscription est gratuite et ne prend que quelques minutes.

ABN AMRO MMF European Equities E Cap EUR

Classé 41 sur 480 en - Europe sur 12 mois
All calculations are in EUR unless stated

Géré par

Laurent Bouin

Laurent Bouin started out in the world of investment management with a back office role focusing on statistics and brokerages in 1992. He took on a role as an assistant fund manager with CPR Gestion in 1994 and worked his way through the company’s ranks, becoming trader on futures in 1996 and fund manager in 1999. Bouin left CPR Asset Management at the end of 2004 to go to Switzerland, managing the long only department of EIM SA, a fund of hedge funds based in Nyon. He eventually returned to Paris with Banque Neuflize in October 2007 and manages absolute return products. He holds a degree in finance from the University of Aix-Marseille and a master’s degree specialising in financial engineering from the University of Marseilles. He completed the ISMA General Certification Programme in 1997.

Benjamin Hamidi

Objectif

The sub-fund invests predominantly in transferable equity securities such as equities, other equity shares such as co-operative shares or warrants on transferable equity securities issued by companies which are domiciled in or exercise the predominant part of their economic activity in Europe. The minimum asset allocation in such securities on a consolidated basis (direct and indirect investments through the use of derivative instruments) will be of 60% of the sub-fund's net assets (after deduction of the sub-fund's cash). Minority investments may be made in such securities in the small cap, specialised or restricted sectors.

Performance

Europe sur : 31/10/2017 - 31/10/2018
  • Classement 41/480 Rendement total
  • Classement 235/480 Ecart-type
  • Classement 199/480 Perte maximale

Rendement total

Performance trimestrielle

au 30/09/2018 Annuel T1 T2 T3 T4
2018 -1,5% 5,0% 0,6%
2017 21,0% 8,1% 2,9% 3,9% 4,8%

Performance mensuelle

Rendement vs Risque

Enregistré à la vente

  1. France
  2. Luxembourg

Information sur le fonds

  • Date de lancement08/12/2016
  • Taille de la share class14Mn
  • Devise de baseEUR
  • Code ISIN LU1165274215

Information pour achat

  • Minimum investissement de départ10 000
  • Montant minimum de versements périodiques0

Frais

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