The objective of the Fund is to achieve capital appreciation by investing primarily in U.S. equities. The Fund aims to achieve its investment objective by investing at least 80% of its net assets in equity securities of mid-size and large companies generally with market capitalisations above $2 billion at the time of purchase that the Investment Manager believes have strong, or improving, long-term business characteristics and share prices that do not reflect these favourable fundamental attributes, and which are listed or traded on the U.S. markets and exchanges listed in Appendix I of the Prospectus. The Fund may also invest in non-U.S. securities, convertible bonds including U.S. Rule 144A Securities, American and Global Depositary Receipts, U.S. treasury bills, fixed and/or floating rate U.S. government securities, real estate investment trusts and unlisted securities, subject to the limits set out in the Prospectus.
Rentabilidade anual |
1 ano |
3 anos |
5 anos |
Início |
2024 |
2023 |
2022 |
2021 |
2020 |
Rentabilidade anual: Fundo |
1 ano: 37,04 |
3 anos: 13,68 |
5 anos: 16,39 |
Início: 15,90 |
2024: 32,94 |
2023: 29,01 |
2022: -16,16 |
2021: 34,29 |
2020: 9,65 |
Rentabilidade anual: Categoria |
1 ano: 39,96 |
3 anos: 9,58 |
5 anos: 16,07 |
Início: -
| 2024: 35,71 |
2023: 29,72 |
2022: -25,73 |
2021: 29,97 |
2020: 24,15 |
Rentabilidade anual: Percentil |
1 ano: 43,00 |
3 anos: 3,00 |
5 anos: 36,00 |
Início:-
| 2024: 45,00 |
2023: 50,00 |
2022: 13,00 |
2021: 39,00 |
2020: 85,00 |
Risco |
Volatilidade |
Rácio de Sharpe |
Correlação |
Beta |
Alfa |
Tracking error |
Rácio de informação |
Risco: 3 anos |
1 Volatilidade: 16,01 |
3 Rácio de Sharpe: 0,44 |
5 Correlação: 93,59 |
Beta: 0,79 |
Alfa: 3,33 |
Tracking error: 7,70 |
Rácio de informação: 0,37 |
Fonte: Morningstar.
Dados em euros.
Categoria: US Large-Cap Growth Equity. Data: 2024-12-06
Fonte: Morningstar.
Dados em euros.
Categoria: US Large-Cap Growth Equity. Data: 2024-12-06