The Compartment’s objective seeks to achieve a positive return in all types of market conditions over a medium-term period (minimum of two years) through a discretionary and flexible management approach by exposing the Compartment to various international bond, money market and equity markets, either through direct investment or through investments in UCIs. The allocation of assets is built on the basis of the team's projections on the various markets and according to the level of risk presented by each asset class. The allocation is mainly made through an active selection of UCIs, and/or securities (bonds, money-market instruments, and equities). Investment vehicles incorporating an Environmental, Social and Governance (E, S, and G – or, when taken together, ESG) approach will be preferred and will permanently represent a majority of the Compartment’s net assets. The Management Company integrates the exclusion policy on tobacco and coal companies applied by Amundi.
Rentabilidad anual |
1 año |
3 años |
5 años |
Inicio |
2024 |
2023 |
2022 |
2021 |
2020 |
Rentabilidad anual: Fondo |
1 año: 6,66 |
3 años: 1,52 |
5 años: 1,88 |
Inicio: 1,79 |
2024: 4,81 |
2023: 3,75 |
2022: -3,99 |
2021: 1,05 |
2020: 3,94 |
Rentabilidad anual: Categoría |
1 año: 9,78 |
3 años: 0,75 |
5 años: 1,72 |
Inicio: -
| 2024: 7,63 |
2023: 6,34 |
2022: -10,93 |
2021: 3,85 |
2020: 1,53 |
Rentabilidad anual: Percentil |
1 año: 77,00 |
3 años: 24,00 |
5 años: 34,00 |
Inicio:-
| 2024: 81,00 |
2023: 89,00 |
2022: 5,00 |
2021: 85,00 |
2020: 17,00 |
Riesgo |
Volatilidad |
Ratio Sharpe |
Correlación |
Beta |
Alfa |
Tracking error |
Info Ratio |
Riesgo: 3 años |
1 Volatilidad: 5,17 |
3 Ratio Sharpe: -0,12 |
5 Correlación: 89,58 |
Beta: 0,72 |
Alfa: 1,03 |
Tracking error: 2,88 |
Info Ratio: 0,61 |
Fuente: Morningstar.
Datos en euros.
Categoría: EUR Cautious Allocation - Global. Fecha: 2024-12-05
Fuente: Morningstar.
Datos en euros.
Categoría: EUR Cautious Allocation - Global. Fecha: 2024-12-05