Kursinformationen zu Chahine Funds - Equity Europe Acc 1

Chahine Funds - Equity Europe Acc 1
Valor 39196004
209.45EUR0.01EUR+0.00%
29.09.2026
Kursdaten29.09.2026
NAV in CHF
209.45
Tagesveränderung relativ
+0.00%
Tagesveränderung absolut
0.01
NAV Vortag
209.44
Letzter Handel
29.09.2026
Konditionen
Ausgabekommissionen
+5.00%
Verwaltungsgebühr
+1.25%
OGC
0.00 %
Dokumente
Monatsbericht
-
Halbjahresbericht
-
Jahresbericht
-
Vollständiger Fondsprospekt
-
Gesetzl. Publikationen
-
Fondsstrategie

The objective of Chahine Funds Equity Europe is to outperform the broad European markets, through the use of a model to identify the 'stars' performers. The sub-fund will invest at least 80% in stocks from the EU country members, United Kingdom, Norway and Switzerland followed by at least 3 brokers and whose capitalisation exceeds 100 million EUR. The sub-fund will be invested across all markets capitalisation spectrum including large capitalisation companies. The sub-fund may enter into transactions which are undertaken for purposes other than hedging provided those transactions have no negative effect on the quality of the investment policy. The sub-fund exposure to the stock market will remain between 80% and 100%. The sub-fund will use momentum indicators such as the Price Momentum, a statistical concept measuring the significance of a price movement relative to the market, or the Earnings Momentum, that measures the strength of earnings estimates revisions. An allocation of small and mid caps is incorporated into the portfolio. The MSCI Europe Net Return will serve as a reference benchmark solely for the calculation of performance fees. Due to the active nature of the management process and the full freedom of investment, the Sub-Fund's performance profile may deviate significantly from that of the MSCI Europe Net Return.

Kursentwicklung / Kennzahlen
ZeitraumPerformanceVolatilitätSharpe RatioBester MonatSchlecht. MonatMax Verlust
YTD+17.96%+15.07%+1.47%+9.05%-8.05%-10.09%
6 Monate+17.43%+12.62%+2.79%+9.05%-8.05%-3.40%
1 Jahr+25.52%+14.45%+1.59%+9.05%-8.05%-10.09%
3 Jahre+79.29%+14.23%+1.33%+9.30%-8.05%-16.30%
5 Jahre+41.34%+16.45%+0.28%+9.68%-13.00%-34.57%
Stammdaten
ISIN
LU1731919103
Valor
39196004
Währung
EUR
Fondstyp
Aktienfonds
Ertragsart
thesaurierend
Anlageschwerpunkt
Branchenmix
Anlageregion
Europa
Domizil
-
Vertriebszulassung
Luxemburg
Auflagedatum
28.12.2017
Fondsvolumen
508'548'500.71
Geschäftsjahresbeginn
01.10.2026
Benchmark
-
Fondsgesellschaft
IRIVEST IM
Grösste Positionen
ASML Holding N.V.
3.96 %
Roche Holding AG
3.67 %
Unilever PLC
2.96 %
argenx SE
2.45 %
NatWest Group PLC
2.34 %
Banco Bilbao Vizcaya Argent.
2.00 %
Jyske Bank A/S
2.00 %
Deutsche Post AG
1.94 %
Haleon PLC
1.91 %
Ferrari N.V.
1.90 %
Fondszusammensetzung nach Branchen
Finanzen
24.84 %
Konsumgüter
19.62 %
Industrie
16.48 %
IT/Telekommunikation
15.88 %
Gesundheitswesen
9.01 %
Versorger
4.40 %
Energie
3.01 %
Barmittel
2.85 %
Rohstoffe
2.54 %
Immobilien
0.23 %