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.
Arnaud d’Aligny is a partner, senior equity portfolio manager and securities analyst at Sycomore Asset Management based in Paris, where he deals in European equities using conviction, growth and value strategies. Arnaud joined the firm in 2011 and prior to this was an executive director in the investment banking division at Goldman Sachs. Arnaud graduated from The Wharton School, University of Pennsylvania with an MA in Business Administration, Finance major and Supaero (ISAE) with an MSc in Aeronautics & Astronautics.
Bertille Knuckey first worked as a sell-side analyst in socially responsible investment at Oddo Securities before moving to F&C Asset Management in 2010 as a corporate governance and responsible investment analyst. In March 2014, she joined Financière de l’Echiquier to co-lead its SRI strategy and ESG integration process. She is now head of Sustainable and Responsible Investment at Sycomore Asset Management. Bertille has a Masters from the London School of Economics and a Masters in environment, sustainable development and risk management from Sciences Po in Paris.
Alban Préaubert, a former figure skating champion joined Sycomore Asset Management in 2011 as an all-caps ESG analyst. He then started to cover European small and mid caps companies in 2013 and became a co-portfolio manager of Sycomore Sélection PME in January 2014. Alban is a graduate from ESCP Europe.
The Fund's objective is to offer its subscribers, over a minimum investment period of five years, performance above its benchmark. The fund's investment strategy is based on an exposure of 60% to 100% of euro zone equities. The fund is eligible for PEA at all times.
Rangfolge 44/76 Gesamtertrag
Rangfolge 29/76 Standardabweichung
Rangfolge 48/76 Maximaler Verlust
|42||Invesco Euro Structured Equity Z Acc||EUR||
|43||AXA WF Framlington Euro Relative Value AC||EUR||
|44||Sycomore Selection Responsable RP||EUR||
|45||KBC Equity High Dividend Eurozone Cap||EUR||
|46||Apollo European Equity A||EUR||
|46||SSgA EMU Equity Fund P D||EUR||
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|28||LuxTopic - Aktien Europa A||EUR||
|29||Sycomore Selection Responsable RP||EUR||
|30||SSgA Eurozone Value Spotlight Fund P||EUR||
|30||DPAM INVEST B Equities Euroland B||EUR||
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Auf das Jahr Quartalsperformance
Rendite vs Risiko
Information über den Fonds
- Größe der Anteilsklasse25Mn
- Mindestanlage (initial)0,0001
- Mindest regelmäßige Zusatzinvestition0,0001