Carmignac Gestion Les sites Carmignac Gestion

163.68au 18/06/2013

Carmignac Profil Réactif 50 A EUR acc ISIN : FR0010149203   


Diversified fund of funds that seeks to maximise portfolio valuation through an active asset allocation policy. To this end, the portfolio’s breakdown between the various asset classes and UCITS categories (equities, diversified, bonds, money market, etc.) varies in line with the fund manager’s expectations. In order to minimise the risks of capital fluctuation, the fund can be invested and/or exposed up to 50% maximum in global equity UCITS.

This fund does not take ESG criteria into account.

 



 from      at        

Cumulative performance :

From 01/ 01/ 2013 the equity index reference indicators are calculated net dividends reinvested.


Cumulative performance

Index*
Since yesterday
YTD
1 year
2 years
3 years
5 years
10 years
Since launch

*

Annualised performance

3 years
5 years
10 years






Legal formFrench fund of funds
Date of 1st NAV02/01/2002
ISINFR0010149203
CodesBLOOMBERG: CARREAC FP
Currency of listingEUR
Income allocationAccumulation
Index50% MSCI AC WORLD NR (EUR) + 50% Citigroup WGBI All Maturities (EUR). Rebalanced at 1 January each year
Frequency of listingDaily
Outstanding
548 442 343,67 EUR

The Best Funds "alla categoria Flessibili"
palmares-bas

Gérant

  • Frédéric  LerouxFrédéric Leroux

The UCITS presented hereby is authorised for distribution in France.
Not all UCITS are suitable for every investor. The risks and charges related to investing in a specific UCITS are detailed in the KIID (Key Investor Information Document) on that UCITS, which can be downloaded from this website. Carmignac Gestion asks all those concerned to study it carefully.
The KIID must be made available to the subscriber prior to purchase.
Past performance is not a reliable indicator of future results. Performance may vary over time and are not guaranteed.
Taxation depends on the situation of each client and may be subject to change.