SYCOMORE SELECTION CREDIT R FR0011288513

Tags

ReturnsAnnu. ReturnsVolatilities
1 week+0.2--
4 weeks+0.4--
52 weeks+3.7+3.7+1.5
1 mon.+0.4--
3 mon.+1.4--
6 mon.+1.2--
1 yr+3.8+3.8+1.5
3 yrs+4.5+1.5+1.7
5 yrs+9.4+1.8+2.5
Max+27.5+3.3+2.4
YearJanFebMarAprMaiJunJulAugSepOctNovDec
2020+0.5-0.1+0.6----------
2019+4.9+1.1+0.8+0.6+0.6-0.7+1.3+0.5+0.3-0.3-0.3+0.4+0.5
2018-3.50-0.5-0.1+0.2-0.8-0.5+0.8+0.20-0.9-1.4-0.7
2017+3.6+0.2+0.70+0.7+0.60+0.5+0.4+0.1+0.9-0.5-0.1
2016+5.3-1.9-0.3+2.9+1.2+0.2+0.1+1.7+1-0.4+0.5-0.7+1.2
2015+1.1+1.5+1.6+0.1+0.1-0.1-1.9+1.2-1.1-1.9+2.3+0.6-1.2
2014+6.9+0.7+1.7+0.5+1.3+0.9+0.6-0.1+0.5-0.7-0.1+1+0.4
2013+5.7-0.2+0.7+0.6+1.5+0.2-2+1.60+0.8+1.7+0.4+0.3
2012---------000+0.7
Dollar cost averaging (DCA)
Total investmentProfit/Loss(Profit/Loss)/Inv
1 yr1200+19+1.6
3 yr3600+87.9+2.4
5 yr6000+303.9+5.1
Dollar cost averaging (DCA) - 100€ each month
Net inflows / Market effect
Asset Under Management on 20/02/202001/2020T4/2019S2/20192019YTD
Fund560.8 M€-25.2 / -0.1+171.8 / +3.8+226.1 / +5.9+98.5 / +22.2-6.2 / +3.2
FR0011288489310.9 M€-15 / 0+1.5 / +2.2+36.7 / +4.1-93.3 / +18.8-17.7 / +1.8
FR0011288505132.3 M€-18.2 / 0+125 / +1.2+126 / +1.2+126.6 / +1.2+2.5 / +0.8
FR0011288513112.8 M€+8.2 / -0.1+49.8 / +0.4+67.9 / +0.5+68.5 / +1.8+9.3 / +0.6
FR00112885394.9 M€-0.2 / 0-4.5 / +0.1-4.5 / +0.1-3.4 / +0.5-0.4 / 0
FR00129505740 M€0 / 00 / 00 / 00 / 00 / 0

Details

Legal Form-
Is UCITS ?Yes
Is Feeder ?-
Has Formula ?-
AMF Classification-
Currency-
Investors-
Initial Min. subscription-
Subsequent Min. subscription-
BenchmarkBarclays Capital Euro Corporate
Recommended Investment Period5 ans
NAV FrequencyQuotidien
Distribution policy-
French PEA ?-
RSI ?-
SRRI
1234567

Fees

Max Entry Fees-
Max Exit Fees-
Ongoing Charges-

Actors

Management CompanySYCOMORE ASSET MANAGEMENT
Custodian/DepositoryBNP PARIBAS SECURITIES SERVICES
Auditor-
Administration/Accounting-

Other Shares/Classes