TQ F.World Cl.Nav.90% Pro.I/  LU2356205372  /

Fonds
NAV10/30/2024 Chg.-0.2000 Type of yield Investment Focus Investment company
96.1700EUR -0.21% reinvestment Other Funds Worldwide BNP PARIBAS AM Eur. 

Investment strategy

The objective of the Sub-fund is (i) to increase the value of its assets over the medium term by being exposed to a dynamic basket of global equities, the components of which are chosen using a systematic selection method based on environmental, social and governance criteria (ESG) as well as carbon emission and energy transition criteria and companies financial robustness. In addition, the Sub-fund benefits from a protection mechanism from the Guarantor whereby, on each Valuation Day, the Net Asset Value per Unit of each Class is at least 90% of the maximum Net Asset Value per Unit of the Class since inception. In order to achieve its investment objective, the Sub-fund implements a quantitative investment strategy (the Strategy) that takes variable positions on a dynamic basket (the ""Dynamic Basket"") consisting itself in a long exposure to global equities (the Equity Strategy) to which is applied a systematic risk control mechanism which aims at keeping the Dynamic Basket annualized volatility at a target level of 5%. As a result, within the Dynamic Basket, the exposure to the Equity Strategy is adjusted on a daily basis with an allocation up to a 100% and the remainder, if any, is exposed to government bonds and/or money-market rates or cash. The overall exposure to the Dynamic Basket is variable and determined via the protection mechanism as described below.
 

Investment goal

The objective of the Sub-fund is (i) to increase the value of its assets over the medium term by being exposed to a dynamic basket of global equities, the components of which are chosen using a systematic selection method based on environmental, social and governance criteria (ESG) as well as carbon emission and energy transition criteria and companies financial robustness. In addition, the Sub-fund benefits from a protection mechanism from the Guarantor whereby, on each Valuation Day, the Net Asset Value per Unit of each Class is at least 90% of the maximum Net Asset Value per Unit of the Class since inception.
 

Master data

Type of yield: reinvestment
Funds Category: Other Funds
Region: Worldwide
Branch: Capital Protected Funds
Benchmark: -
Business year start: 1/1
Last Distribution: -
Depository bank: BNP PARIBAS ASSET MANAGEMENT Luxembourg
Fund domicile: Luxembourg
Distribution permission: Luxembourg, Czech Republic
Fund manager: PANEL Maxime
Fund volume: 19.21 mill.  EUR
Launch date: 8/31/2021
Investment focus: -

Conditions

Issue surcharge: 0.00%
Max. Administration Fee: 0.55%
Minimum investment: 100,000.00 EUR
Deposit fees: -
Redemption charge: 0.00%
Key Investor Information: Download (Print version)
 

Investment company

Funds company: BNP PARIBAS AM Eur.
Address: 14 rue Bergère, 75009, Paris
Country: France
Internet: www.bnpparibas-am.com
 

Assets

Capital Protected
 
100.00%

Countries

United States of America
 
56.94%
Japan
 
11.17%
Canada
 
5.95%
France
 
5.75%
Australia
 
4.12%
Italy
 
4.00%
United Kingdom
 
3.31%
Germany
 
3.00%
Netherlands
 
2.72%
Spain
 
1.98%
Hong Kong, SAR of China
 
0.96%
Denmark
 
0.10%