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Comgest Growth Global Flex EUR I Acc

Rang 1 von 323 in - Mischfonds - Flexibel EUR über 12 Monate
All calculations are in EUR unless stated

Verwaltet von

Schlomy Botbol

Alexandre Narboni

Alexandre Narboni joined Comgest in 2009 and is an analyst and portfolio manager specialising in US equity. With a background in mathematics and statistics, Narboni has been instrumental to Comgest’s Emerging Markets Flex strategy, the firm's first investment strategy to employ hedging techniques with the objective of reducing volatility during market drawdowns. Before joining Comgest, Narboni worked in New York, firstly in asset-backed securities at Société Générale from 2005, then as a hedge fund analyst at HSBC. After graduating from the National School of Statistics and Economic Administration (ENSAE) in Paris, he studied for one year at Columbia University in New York where he was awarded a master’s degree in financial mathematics.

Céline Piquemal-Prade

Céline Piquemal-Prade joined Comgest’s global equities team in 2003 and is today a member of the Group’s Investment Executive and Management committees. Piquemal-Prade became a lead portfolio manager of Comgest’s global strategy in 2008 and has worked on Comgest’s EAFE Plus strategy since its launch in 2012. She also co-manages a number of global segregated mandates. Piquemal-Prade began her career in London as an analyst at J.P. Morgan and then at Morgan Stanley before joining McKinsey in 2000 as a consultant. She graduated from the HEC business school in Paris with a major in finance.

Anlageziel

The investment objective of the Fund is to achieve capital appreciation by creating a professionally managed portfolio consisting of what, in the opinion of the Investment Manager, are international and diversified growth securities (the Core Portfolio). The Investment Manager intends investing on a global basis in shares or equity linked securities including preferred stock, convertible bonds and debentures which are convertible into equity securities issued by companies quoted or traded on Regulated Markets.

Performance

Mischfonds - Flexibel EUR über : 30.09.2017 - 30.09.2018
  • Rangfolge 1/323 Gesamtertrag
  • Rangfolge 288/323 Standardabweichung
  • Rangfolge 179/323 Maximaler Verlust
Fondsname Currency Risiko
286 Focus Dividend EUR

8,7

287 Aktienstrategie MultiManager OP EUR

8,8

288 Comgest Growth Global Flex EUR I Acc EUR

8,9

289 ERBA Invest OP EUR

9,0

290 UNIQA Chance T EUR

9,1

Gesamtertrag

Auf das Jahr Quartalsperformance

bis 30.09.2018 Jährlich Q1 Q2 Q3 Q4
2018 -0,8% 1,7% 5,7%
2017 9,4%

Monatliche Performance

Rendite vs Risiko

Zum Verkauf zugelassen in

  1. Österreich
  2. Frankreich
  3. Deutschland
  4. Luxemburg
  5. Schweiz
  6. Vereinigtes Königreich

Information über den Fonds

  • Starttermin31.07.2017
  • Größe der Anteilsklasse41Mn
  • BasiswährungEUR
  • ISIN IE00BZ0X9Q28

Kaufinformation

  • Mindestanlage (initial)750.000
  • Mindest regelmäßige Zusatzinvestition0

Gebühren

  • Jährliche Verwaltungsgebühr0,90%
  • Ausgabeaufschlag0,00%

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