NAV21/01/2025 Diferencia+0.1670 Tipo de beneficio Enfoque de la inversión Sociedad de fondos
18.6790EUR +0.90% reinvestment Equity Worldwide Caixabank AM (LU) 

Estrategia de inversión

The investment objective of the Sub-Fund is to provide investors with longterm capital appreciation, based on risk spreading and future potential growth. The Sub-Fund will mainly invest in equity securities issued by companies that, in the Management Company's opinion, may benefit from an operational or financial reorganisation or companies that offer a strong valuation potential, due to the reorganisation expected in their economic sector. The Sub-Fund will have no restriction in terms of geographical asset allocation. The target medium annual value of the equity securities referred to above will be equal or superior to two thirds of the medium net asset value of the Sub-Fund for the same period. Only on occasional situations may the medium annual value of the assets referred to above be inferior to two-thirds of the medium net asset value of the Sub-Fund. The Sub-Fund will not enter into Securities Financing Transactions ("SFTs"). The Sub-Fund will not enter into total return swaps. To achieve its investment goals, for treasury purposes and/or in case of unfavorable market conditions, the Sub-Fund may also invest in money market instruments and transferable securities on an ancillary basis.
 

Objetivo de inversión

The investment objective of the Sub-Fund is to provide investors with longterm capital appreciation, based on risk spreading and future potential growth. The Sub-Fund will mainly invest in equity securities issued by companies that, in the Management Company's opinion, may benefit from an operational or financial reorganisation or companies that offer a strong valuation potential, due to the reorganisation expected in their economic sector.
 

Datos maestros

Tipo de beneficio: reinvestment
Categoría de fondos: Equity
Región: Worldwide
Sucursal: Mixed Sectors
Punto de referencia: MSCI Daily Total Return World Net Euro index
Inicio del año fiscal: 01/01
Última distribución: -
Banco depositario: BNP Paribas Securities Services
País de origen: Luxembourg
Permiso de distribución: -
Gestor de fondo: CaixaBank Asset Management SGIIC, S.A.U.
Volumen de fondo: 79.18 millones  EUR
Fecha de fundación: 04/08/2005
Enfoque de la inversión: -

Condiciones

Recargo de emisión: 3.00%
Max. Comisión de administración: 1.00%
Inversión mínima: 250,000.00 EUR
Deposit fees: -
Cargo por amortización: 0.00%
Prospecto simplificado: Descargar (Versión para imprimir)
 

Sociedad de fondos

Fondos de empresa: Caixabank AM (LU)
Dirección: Av. Casal Ribeiro 59 – 9º, 1049-053, Lissabon
País: Portugal
Internet: www.bancobpi.pt
 

Activos

Stocks
 
100.00%

Países

Global
 
100.00%

Sucursales

various sectors
 
100.00%