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ODDO BHF Active Small Cap CR-EUR

Classé 124 sur 135 en - Petites et moyennes entreprises européennes sur 12 mois
All calculations are in EUR unless stated

Géré par

Guillaume Chieusse

Guillaume Chieusse was born in Saint Maur in France in 1970 and graduated from the Amiens Business School. He started his career as an auditor at KPMG in 1993 and in 1996 he joined Banque d’Orsay where he worked in audit and corporate finance. Guillaume joined Orsay Asset Management in 1999 where he is currently a portfolio manager. Outside of fund management he enjoys golf, tennis, soccer and skiing.

Elodie Lehmann

With 11 years of experience in asset management, Elodie Lehmann is an analyst and fund manager at Oddo Asset Management. She has been with the firm since 2005 and is a member of the CFA and the French Institute of Financial Analysis. Elodie graduated from ENSAE in Paris.

Yannig Pariset


The fund aims to outperform the MSCI Europe Small cap index hedged in Euros, over an investment horizon of at least 5 years. The fund will invest 75% to 100% of its assets across all sectors and all capitalizations, with a minimum of 75% in small and mid cap equity securities issued by SMEs or medium sized companies having their registered office in the EU or the EEA.


Petites et moyennes entreprises européennes sur : 31/10/2017 - 31/10/2018
  • Classement 124/135 Rendement total
  • Classement 120/135 Ecart-type
  • Classement 124/135 Perte maximale
Nom du fonds Currency Rendement total
122 Aviva Investors Small & Mid Caps Euro ISR I EUR


123 M&G PanEuropeanSelectSmallerComp EUR A Acc EUR


124 ODDO BHF Active Small Cap CR-EUR EUR




126 PAM Small Companies EUR


Nom du fonds Currency Perte
122 Federal Multi PME EUR




124 ODDO BHF Active Small Cap CR-EUR EUR




126 Quaero Smaller European Companies D EUR Cap EUR


Rendement total

Performance trimestrielle

au 30/09/2018 Annuel T1 T2 T3 T4
2018 -2,9% 0,5% -5,3%
2017 24,4% 9,4% 7,2% 5,1% 0,9%
2016 2,0% -7,7% -1,2% 8,5% 3,1%
2015 35,1% 20,2% 2,4% 0,0% 9,7%
2014 10,1% 11,3% 0,1% -4,9% 4,0%

Performance mensuelle

Rendement vs Risque

Enregistré à la vente

  1. Autriche
  2. France
  3. Allemagne
  4. Italie
  5. Luxembourg
  6. Suède
  7. Suisse

Information sur le fonds

  • Date de lancement26/11/2013
  • Taille de la share class193Mn
  • Devise de baseEUR
  • Code ISIN FR0011606268

Information pour achat

  • Minimum investissement de départ100
  • Montant minimum de versements périodiques0,001


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