
Net asset value
to 27.05.2019100 196.83€
to 27.05.2019100 196.83€
YTD perf.0.57%
1Y rolling perf.-2.28%
3Y rolling perf.-1.87%
5Y rolling perf.-
AuM82.2 M€
Recommended investment period-
Performance track record (by year)
NAV | Year-to-date | 2018 | 2017 | 2016 | 2015 | 2014 | Volatility (5 ans) | |
---|---|---|---|---|---|---|---|---|
Evolution | 100 196.83 €au 27.05.2019 | 0.57% | -3.16% | 0.46% | 1.05% | 0.92% | - | 0.82% |
Evolution | |
---|---|
NAV | 100 196.83 €au 27.05.2019 |
Year-to-date | 0.57% |
2018 | -3.16% |
2017 | 0.46% |
2016 | 1.05% |
2015 | 0.92% |
2014 | - |
Volatility (5 years) | 0.82% |
Past performances are not a reliable indicator of future performances. Rolling 5-years volatility is calculated on a monthly basis, at the end of each month (when the data is available).
Features
Inception date
09/05/2014
Legal form
AMF classification
Currency of denomination
€
Asset management company
Country of registration
Recommended investment period
Depositary bank
Statutory auditor
Bloomberg
PRMOCTI FP Equity
Benchmark index
EONIA Capi.
Approval date
09/05/2014
Subscription fees (Max.)
3%
Fixed management fee (Max.)
0,40%
Variable management fees
-
Indirect management fees
Redemption fee acquired from the OPC
-
Minimum number of units at subscription
0,01 (initiale 1)
Subscription procedure