Protea Fund - Orion A
LU0471804905
Protea Fund - Orion A/ LU0471804905 /
NAV14.10.2024 |
Zm.+0,7900 |
Typ dystrybucji dochodów |
Kategoria |
Firma inwestycyjna |
139,9900EUR |
+0,57% |
z reinwestycją |
Fundusz mieszany
Światowy
|
FundPartner Sol.(EU) ▶ |
Strategia inwestycyjna
The objective of this Sub-Fund is to achieve capital appreciation over the medium to long-term by investing its assets across all the asset classes based on a macro analysis. The Sub-Fund is actively managed. The Sub-Fund has no benchmark index and is not managed in reference to a benchmark index. The return of the product is determined using the Net Asset Value (the 'NAV') calculated by the Central Administration. This return depends mainly on the market value fluctuations of the underlying investments as described below.
The Sub-Fund intends to invest mainly in: - all kinds of securities, with fixed or variable income, including, but not limited to, equity, bonds (including but not limited to zerocoupon, indexed or convertible bonds), commodity related products (considered as eligible assets under the investment restrictions), - all kind of financial derivative instruments as described below, - Money Market Instruments and, - structured products (as described in the prospectus). There is no limitation or restriction on with respect to the asset allocation or sectorial and geographical exposure (including emerging markets). Depending on financial market conditions, a particular focus can be placed in a limited asset class, a limited type of securities, a single country, a small number of countries, or a particular geographic region.
Cel inwestycyjny
The objective of this Sub-Fund is to achieve capital appreciation over the medium to long-term by investing its assets across all the asset classes based on a macro analysis. The Sub-Fund is actively managed. The Sub-Fund has no benchmark index and is not managed in reference to a benchmark index. The return of the product is determined using the Net Asset Value (the 'NAV') calculated by the Central Administration. This return depends mainly on the market value fluctuations of the underlying investments as described below.
Dane podstawowe
Typ dystrybucji dochodów: |
z reinwestycją |
Kategoria funduszy: |
Fundusz mieszany |
Region: |
Światowy |
Branża: |
Fundusz mieszany/elastyczny |
Benchmark: |
- |
Początek roku obrachunkowego: |
01.01 |
Last Distribution: |
- |
Bank depozytariusz: |
Pictet & Cie (Europe) S.A. |
Kraj pochodzenia funduszu: |
Luxemburg |
Zezwolenie na dystrybucję: |
Luxemburg |
Zarządzający funduszem: |
- |
Aktywa: |
11,71 mln
EUR
|
Data startu: |
22.12.2009 |
Koncentracja inwestycyjna: |
- |
Warunki
Opłata za nabycie: |
5,00% |
Max. Administration Fee: |
0,40% |
Minimalna inwestycja: |
- EUR |
Opłaty depozytowe: |
- |
Opłata za odkupienie: |
3,00% |
Uproszczony prospekt: |
- |
Firma inwestycyjna
TFI: |
FundPartner Sol.(EU) |
Adres: |
15A, avenue J. F. Kennedy, 1855, Luxemburg |
Kraj: |
Luxemburg |
Internet: |
www.group.pictet/de
|