The fund seeks to achieve an income combined with prospects for capital appreciation from a portfolio of shares issued by companies in Europe. The Portfolio will invest principally in equity securities of companies domiciled in Europe or with significant operations in Europe. The Portfolio may use financial derivative instruments for hedging purposes. The Net Asset Value of the Portfolio shall be expressed in Euro and investment decisions will be made from a Euro perspective. The Portfolio is actively managed in reference to the MSCI Europe Index. The index is broadly representative of the companies in which the Portfolio invests, and provides a suitable target benchmark against which Portfolio performance will be measured and evaluated over time. The Sub-Advisor has discretion to select investments with weightings different to the index, and that are not in the index, and the Portfolio may display significant divergence from the index.

Rentabilidad anual 1 año 3 años 5 años Inicio 2022 2021 2020 2019 2018
Rentabilidad anual: Fondo 1 año: -3,75 3 años: 6,07 5 años: 3,83 Inicio: 4,67 2022: -11,32 2021: 21,35 2020: 0,95 2019: 25,84 2018: -11,24
Rentabilidad anual: Categoría 1 año: 2,32 3 años: 5,29 5 años: 2,53 Inicio: - 2022: -5,62 2021: 20,71 2020: -7,11 2019: 21,96 2018: -11,83
Rentabilidad anual: Percentil 1 año: 92,00 3 años: 41,00 5 años: 32,00 Inicio:- 2022: 92,00 2021: 44,00 2020: 8,00 2019: 22,00 2018: 46,00
Riesgo Volatilidad Ratio Sharpe Correlación Beta Alfa Tracking error Info Ratio
Riesgo: 3 años 1 Volatilidad: 18,35 3 Ratio Sharpe: 0,42 5 Correlación: 92,46 Beta: 0,96 Alfa: -0,96 Tracking error: 7,03 Info Ratio: -0,22
Fuente: Morningstar. Datos en euros. Categoría: Europe Equity Income. Fecha: 2022-05-23
Fuente: Morningstar. Datos en euros. Categoría: Europe Equity Income. Fecha: 2022-05-23