Carmignac Portfolio Patrimoine Income A EUR
WKNA14QCA
AssetklasseMischfonds
71,276€-0,67€
01.10.2025 05:35-0,93%
71,276€-0,67€
01.10.2025 05:35-0,93%
Verkaufen
71,581VerkaufenStück: 700Kaufen
72,639KaufenStück: 700Eröffnung
71,276
Hoch
71,276
Tief
71,276
The Sub-Fund seeks to outperform its reference indicator over a recommended investment horizon of three (3) years. The search for performance involves flexible, discretionary management on equity, fixed income, foreign exchange and credit markets, based on the manager's expectations of how economic and market conditions will evolve. The Sub-Fund may adopt a defensive strategy if the markets are expected to perform negatively. Up to 50% of the Sub-Fund's net assets are exposed to equity markets, and at least 40% invested in bonds, negotiable debt securities and money market instruments.
Emittent
Carmignac Gestion Luxembourg SA
Benchmark
-
Fondsgröße in Mio.
1.555,311
Gesamtkostenquote (TER)
1,81 %
Tracking Difference
1,6115
Replikation
-
Fondswährung
EUR
Domizil
LU
Fondsauflage
-
Ausschüttung
Ausschüttend
Ausschüttungsintervall
1000771
NAV
72,15
NAV Datum
26.9.2025