Kursinformationen zu GBAM FUNDS SICAV - GBI - GOOD GOVERNANCE FUND SB (USD)

GBAM FUNDS SICAV - GBI - GOOD GOVERNANCE FUND SB (USD)
Valor 58998447
320.97USD0.39USD+0.12%
29.09.2026
Kursdaten29.09.2026
NAV in CHF
320.97
Tagesveränderung relativ
+0.12%
Tagesveränderung absolut
0.39
NAV Vortag
320.58
Letzter Handel
29.09.2026
Konditionen
Ausgabekommissionen
+0.00%
Verwaltungsgebühr
+1.18%
OGC
0.00 %
Dokumente
Monatsbericht
-
Halbjahresbericht
-
Jahresbericht
-
Vollständiger Fondsprospekt
-
Gesetzl. Publikationen
-
Fondsstrategie

The Sub-Fund promotes good governance practices by investing in a portfolio of well-governed S&P 500 companies. It uses a proprietary technology to systematically select a limited number of S&P 500 companies that rank highest in terms of quality of governance. The Sub-Fund excludes investments in tobacco, defence, oil and gas companies. The investment objective is to provide significant long-term value by investing in a diversified portfolio of stocks that promotes organisations with long-term vision, social conscience, and that can make a positive impact. The investment policy seeks long term outperformance compared to the S&P 500 Total Return benchmark. The Sub-Fund promotes environmental and social characteristics under Article 8 SFDR, but does not have sustainable investment as its main objective or commit to sustainable investments. Investments do not take into account environmentally sustainable economic activities under the Taxonomy Regulation. The risk diversification principle underlies the investment strategy. Investments utilise leverage techniques in line with current market practice, within legal limits. Borrowing or leverage by one sub-fund does not impact other sub-funds.

Kursentwicklung / Kennzahlen
ZeitraumPerformanceVolatilitätSharpe RatioBester MonatSchlecht. MonatMax Verlust
YTD+18.99%+15.76%+1.50%+14.41%-5.03%-12.76%
6 Monate+33.42%+15.82%+4.76%+14.41%-5.03%-5.69%
1 Jahr+23.74%+15.12%+1.39%+14.41%-5.03%-12.76%
3 Jahre------
5 Jahre------
Stammdaten
ISIN
LU1948644692
Valor
58998447
Währung
USD
Fondstyp
Aktienfonds
Ertragsart
thesaurierend
Anlageschwerpunkt
Branchenmix
Anlageregion
-
Domizil
USA
Vertriebszulassung
Luxemburg
Auflagedatum
21.03.2019
Fondsvolumen
-
Geschäftsjahresbeginn
01.01.2027
Benchmark
-
Fondsgesellschaft
MC Square S.A.
Fondszusammensetzung nach Branchen
diverse Branchen
100.00 %