Kursinformationen zu Chahine Funds - Equity US Acc USD

Chahine Funds - Equity US Acc USD
Valor 37526273
336.64USD1.05USD+0.31%
29.09.2026
Kursdaten29.09.2026
NAV in CHF
336.64
Tagesveränderung relativ
+0.31%
Tagesveränderung absolut
1.05
NAV Vortag
335.59
Letzter Handel
29.09.2026
Konditionen
Ausgabekommissionen
+5.00%
Verwaltungsgebühr
+1.50%
OGC
0.00 %
Dokumente
Monatsbericht
-
Halbjahresbericht
-
Jahresbericht
-
Vollständiger Fondsprospekt
-
Gesetzl. Publikationen
-
Fondsstrategie

The objective of Chahine Funds Equity US is to outperform the broad US markets, through the use of a model to identify the 'stars' performers. The sub-fund will invest at least 80% in stocks from the United States of America followed by at least 3 analysts and whose capitalization exceeds 100 million USD. The sub-fund will be invested across all market capitalization spectrum from small-cap to large-cap equities. 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 a quantitative model using a development made on earnings revisions ("Revision Mark factor"). The Revision Mark factor is a concept to measure the strength and significance of the earnings revisions relative to the market. Other quantitative factors, like price momentum (statistical concept to measure the significance of a price movement relative to the market) or valuation ratios may also be applied to buy or sell stocks. The MSCI USA 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 USA Net Return.

Kursentwicklung / Kennzahlen
ZeitraumPerformanceVolatilitätSharpe RatioBester MonatSchlecht. MonatMax Verlust
YTD+40.15%+28.41%+1.93%+23.74%-11.98%-16.29%
6 Monate+36.47%+29.51%+2.82%+23.74%-11.98%-16.29%
1 Jahr+43.62%+26.63%+1.54%+23.74%-11.98%-16.29%
3 Jahre+127.80%+22.17%+1.31%+23.74%-11.98%-23.55%
5 Jahre+80.12%+22.89%+0.43%+23.74%-13.42%-37.51%
Stammdaten
ISIN
LU1651323435
Valor
37526273
Währung
USD
Fondstyp
Aktienfonds
Ertragsart
thesaurierend
Anlageschwerpunkt
Branchenmix
Anlageregion
-
Domizil
USA
Vertriebszulassung
Luxemburg
Auflagedatum
16.10.2017
Fondsvolumen
10'943'086.30
Geschäftsjahresbeginn
01.10.2026
Benchmark
-
Fondsgesellschaft
IRIVEST IM
Grösste Positionen
Western Digital Corporation
3.30 %
TTM Technologies, Inc.
2.90 %
Lam Research Corporation
2.70 %
Sandisk Corporation
2.60 %
Comfort Systems USA, Inc.
2.20 %
Fondszusammensetzung nach Branchen
Informationstechnologie
34.70 %
Finanzen
20.10 %
Industrie
13.70 %
Konsumgüter zyklisch
10.90 %
Gesundheitswesen
10.60 %
Immobilien
2.70 %
sonst. VM
2.20 %
Rohstoffe
1.90 %
Telekomdienste
1.90 %
Energie
1.30 %