Kursdaten 07:15 31.12.2023
  • 365.76
  • 411.36
  • +1.22%
  • 4.94
  • 406.42
  • 23.04.2024
Kursentwicklung / Kennzahlen
Zeitraum Performance Volatilität Sharpe Ratio Bester Monat Schlecht. Monat Max Verlust
YTD +4.46% +8.59% +1.33% +3.05% -1.62% -3.62%
6 Monate +12.05% +9.24% +2.36% +5.71% -4.31% -3.62%
1 Jahr +0.42% +11.23% -0.31% +5.71% -4.78% -11.54%
3 Jahre +30.68% +14.99% +0.36% +11.12% -10.05% -14.87%
5 Jahre +71.84% +17.80% +0.42% +13.56% -13.69% -35.12%
Konditionen
  • -
  • -
  • -
Stammdaten
  • LU0578134669
  • 12423874
  • EUR
  • Aktienfonds
  • thesaurierend
  • Branchenmix
  • Europa
  • -
  • Luxemburg
  • 01.02.2011
  • 532.9 Mio.
  • 29.02.2024
  • -
  • Zadig Gestion (LU)
Dokumente
  • -
  • -
  • PDF
  • PDF
  • -
Grösste Positionen
  • 9.4%
  • 6.5%
  • 6.4%
  • 6.3%
  • 6.1%
Fondzusammensetzung nach Branchen
  • 19%
  • 19%
  • 14%
  • 9%
  • 9%
  • 9%
  • 8%
  • 5%
  • 4%
  • 3%
  • 0.9%
  • 0.1%
Fondsstrategie
The objective of the Memnon European Fund is to maximise long term capital growth by investing primarily in quoted equity listed on or dealt in Regulated Markets within Europe which are issued by companies with principal offices in Europe. The Sub-Fund is actively managed. The benchmark index of the Sub-Fund is MSCI Daily Net TR Europe ex UK EURO. It is mentioned only for information purposes and the Sub-Fund does not track the index. The Sub- Fund can deviate significantly from the benchmark index.