Carmignac Portfolio Emerging Patrimoine SICAV ISIN LU0592698954 Diversified management

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Recommended minimum investment horizon : 5 years

NOTICE TO SHAREHOLDERS
02/20/2015
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At 04/23/2015
Xavier HOVASSE
Emerging Equities
Charles ZERAH
International Bonds
  • NAV : 117.84 €
  • D-1 : -0.20 %
  • YTD : +15.46 %
  • 12 Month : +21.56 %

We remain positioned mostly in debt denominated in hard currencies (dollar and euro), especially in Central Europe.

At a glance

Pro
Week from 16 to 04/23/2015
This content is reserved to PRO SPACE members
March 2015
+2.16%
Fund
+2.16%
Indicator *
Since 12/31/2014
+15.46%
Fund
+16.67%
Indicator *

Full view

Performance from 03/31/2011 to 04/23/2015

...
Source : Carmignac Gestion
  • Fund
  • Reference Indicator *
*50% MSCI EM (EUR) (Reinvested net dividends) + 50% JP Morgan GBI-EM (EUR). Quarterly rebalanced.
From 01/ 01/ 2013 the equity index reference indicators are calculated net dividends reinvested.
Max value
04/13/2015
120.41 €
Min. value
03/14/2014
91.99 €
Download Download NAV (Base 100)

Overview at 03/31/2015

  Cumulative Performance Annualised performances
  1 Month 3 Months 1 Year 3 Years Since inception 3 Years Since inception
Carmignac Portfolio Emerging Patrimoine A EUR acc +2.16 % +12.59 % +19.80 % +10.49 % +14.91 % +3.38 % +3.53 %
Reference Indicator * +2.16 % +11.70 % +21.31 % +16.23 % +19.37 % +5.14 % +4.52 %
Category Average +2.22 % +11.50 % +21.18 % +17.29 % +16.21 % +5.46 % +3.83 %
Ranking (quartile) 3 3 3 4 4 4 4
Source: Morningstar for the category average and quartiles

Performance by calendar year (as %)

  • 2010
  • 2011 (a)
    • -1.90
    • -5.06
  • 2012
    • 14.43
    • 14.17
  • 2013
    • -13.63
    • -9.86
  • 2014
    • 5.26
    • 9.38
  • Fund
  • Reference Indicator *

(a) Since the first NAV

Statistical Data at 03/31/2015

  Volatility
  Fund Reference Indicator *
1 Year +10.12 +12.47
3 Years +9.70 +9.81
  Ratios
  Sharpe Ratio Beta Alpha
1 Year 1.95 0.74 0.08
3 Years 0.34 0.87 -0.08

Value at risk at 03/31/2015

Historical Value at Risk 99% 20d calculated over a two-year period
Fund Indicator *
5.65 % 8.46 %

Contribution to Monthly Gross Performance at 03/31/2015

The contribution to performance demonstrates the different sources of returns. The sum of these elements is equal to the performance before the deduction of management fees applicable to the portfolio for the period in question. Fees payable for the period account for the difference between the gross performance and the net performance.
Portfolio +2.68 %
Equity and fixed income derivatives +0.10 %
Currency Derivatives -0.32 %
Total +2.46 %

Legal information

The information presented above is not contractually binding and does not constitute investment advice. Past performance is not a reliable indicator of future performance. Management fees are included in performances. Investors may lose some or all of their capital, as the capital in the UCI is not guaranteed. Access to the products and services presented herein may be restricted for some individuals or countries. Taxation depends on the situation of the individual. The risks, fees and recommended investment period for the UCI presented are detailed in the KIIDs (key investor information documents) and prospectuses available on this website. The KIID must be made available to the subscriber prior to purchase.

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