NAV27.09.2024 Diff.+0.0140 Ertragstyp Ausrichtung Fondsgesellschaft
10.4400EUR +0.13% thesaurierend Mischfonds weltweit Caixabank AM (LU) 

Investmentstrategie

The investment objective of the Sub-Fund is to provide unitholders with medium to long-term capital appreciation by investing in a dynamic and diversified portfolio of assets. The Sub-Fund aims to produce returns by investing in various asset classes such as fixed income securities and equities and, in normal market conditions, will have a higher exposure to equities than to fixed income securities. The Sub-Fund invests in the various asset classes either directly or indirectly, by investing in UCITS, including eligible Exchange-Traded Funds ("ETFs"), having a similar investment objective, or through the use of derivatives. The Sub-Fund's direct and indirect exposure to equities via other UCITS, is limited up to 80% of the net assets. The Sub-Fund's exposure to fixed income securities is minimum 20% of the net assets and can go up to 100% of the net assets. In normal market conditions, the Investment Manager expects the fixed income exposure of the Sub-Fund's portfolio to be below the equity exposure. In unfavourable market conditions, the Investment manager will increase the exposure of the Sub-Fund to fixed income and may do so to the fullest extent permitted by the investment limitation referred to above.
 

Investmentziel

The investment objective of the Sub-Fund is to provide unitholders with medium to long-term capital appreciation by investing in a dynamic and diversified portfolio of assets.
 

Stammdaten

Ertragstyp: thesaurierend
Fondskategorie: Mischfonds
Region: weltweit
Branche: Mischfonds/flexibel
Benchmark: 23,28% MSCI Europe TR Net, 24,50% MSCI USA TR Net (USD), 3,68% MSCI Japan TR Net (JPY), 9,80% MSCI Emerging Markets TR Net (USD), 8,52% ICE BofA 1-3Y All Euro Government, 21,69% ICE BofA 3-5Y All Euro Government, 8,52% ICE BofA 3-5Y Euro Corporate
Geschäftsjahresbeginn: 01.01
Letzte Ausschüttung: -
Depotbank: BNP Paribas, Luxembourg Branch
Ursprungsland: Luxemburg
Vertriebszulassung: -
Fondsmanager: CaixaBank AM
Fondsvolumen: 22.95 Mio.  EUR
Auflagedatum: 27.02.2024
Investmentfokus: -

Konditionen

Ausgabeaufschlag: 3.00%
Max. Verwaltungsgebühr: 1.00%
Mindestveranlagung: - EUR
Weitere Gebühren: -
Tilgungsgebühr: 0.00%
Wesentliche Anlegerinformation: -
 

Fondsgesellschaft

KAG: Caixabank AM (LU)
Adresse: Av. Casal Ribeiro 59 – 9º, 1049-053, Lissabon
Land: Portugal
Internet: www.bancobpi.pt
 

Veranlagungen

Fonds
 
100.00%

Länder

Weltweit
 
100.00%