| Positioning in the product range | Bonds » Europe |
|---|---|
| AMF Classification | Balanced |
| Share class denomination | IC |
| ISIN Code | FR0010301283 |
| Legal nature | FCP |
| Applied NAV per share at 02/08/2012 | 976.01 EUR |
|---|---|
| Valuation frequency | Daily |
| NAV history |
| Net asset at 02/08/2012 | 17,980,335.35 EUR |
|---|---|
| Benchmark | EXANE Euro Convertible |
| Date of agreement | 02/20/1996 |
| Recommended investment horizon | Greater than 3 years |
The Fund adopts a risk-controlled active management style aimed at outperforming its benchmark.To achieve the Fund's investment objective, the manager will use a combination of approaches to select underlying securities based firstly on the potential appreciation of the underlying convertible bonds, and secondly on investment vehicles according to their technical... Read more
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