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Sycomore Partners R

Rang 60 von 81 in - Aktien - Eurozone über 12 Monate
All calculations are in EUR unless stated

Verwaltet von

Cyril Charlot

Cyril Charlot was born in 1968 in Dijon, France. He studied at ESSEC – International Business School in Europe specializing in Finance. Cyril has thirteen years of professional experience in the financial services sector. In 1993, he joined Banque du Louvre where he worked as the co-head of equities fund management for eight years. In 2001, he co-founded Sycomore Asset Management and currently is the fund manager of the Sycomore Mid Cap and the Sycomore Small Cap A funds. Cyril is an ex international handball Junior Ligue 1 player. He also enjoys playing tennis and going to the theatre.

Emeric Préaubert

Emeric Préaubert was born in Strasbourg in the late 60’s, and is a graduate of the French Society of Financial Analysts (SFAF). He has over 14 years of experience working in the industry and in that time has worked for a number of firms. He started out at Credit Du Nord in 1991 where he was an analyst, moving on to BNP Paribas in 1993 also as an analyst. He left BNP after a year and joined Louvre Gestion where he became head of equity management. He currently works at Sycomore Asset Management, where he is lead manager on a number of funds, the largest being the Sycomore Eurocap Fund.

Anlageziel

The objective of the fund is to achieve a significant performance over a minimum recommended investment horizon of five years, through a rigorous selection of European equities and an opportunistic/discretionary variation in the portfolio's exposure to European equity markets.

Performance

Aktien - Eurozone über : 31.08.2017 - 31.08.2018

Gesamtertrag

Auf das Jahr Quartalsperformance

bis 30.06.2018 Jährlich Q1 Q2 Q3 Q4
2018 -1,7% 1,3%
2017 2,3% 1,8% 0,6% 0,8% -0,9%
2016 5,2% -0,4% 1,2% 2,2% 2,1%
2015 7,6% 6,5% 0,3% -3,1% 3,9%
2014 7,2% 2,5% 2,2% -0,7% 3,1%
2013 12,8% 2,5% 2,6% 4,2% 3,0%
2012 12,1% 9,1% -5,2% 2,7% 5,6%
2011 -5,5% 2,5% 1,5% -13,1% 4,4%
2010 10,1% 2,7% -4,9% 6,0% 6,4%
2009 31,1% 1,3% 13,5% 14,2% -0,2%
2008 -2,2% -5,6% -16,0%

Monatliche Performance

Rendite vs Risiko

Zum Verkauf zugelassen in

  1. Österreich
  2. Frankreich
  3. Deutschland
  4. Italien
  5. Luxemburg
  6. Niederlande
  7. Spanien
  8. Schweiz

Information über den Fonds

  • Starttermin31.03.2008
  • Größe der Anteilsklasse201Mn
  • BasiswährungEUR
  • ISIN FR0010601906

Kaufinformation

  • Mindestanlage (initial)0
  • Mindest regelmäßige Zusatzinvestition0

Gebühren

Performance bezieht sich auf die gezeigte Laufzeit (Monatsende bis Monatsende, Angebotspreis/Angebotspreis, Brutto-Erträge reinvestiert, in angezeigter Währung/angezeigten Währungen berechnet)