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BCV FONDS STRATÉGIQUE - BCV Stratégie Revenu

Value No : 69763
ISIN No : CH0000697638
Ticker Bloomberg : GERBVCR SW

Fund’s investment objective

BCV Stratégie Revenu is one of the BCV FONDS STRATEGIQUE umbrella fund segments. It reflects BCV's growth investment policy, based on an international currency and an asset allocation strategy whose objective is to optimize the risk-return trade-off. The benchmark of this fund is invested mostly in bonds (65%) and the proportion denominated in Swiss franc is high, with a fairly small portion being invested in equities and with low-exposure to foreign currencies.

Fund facts
Fund’s domicile : Switzerland
Portfolio Manager : BCV Asset Management
Launch date : 16 April 1996
Launch price : CHF 100.00
Close of financial year : 30 April
Management
fee :
1.15%
TER to 31.10.2011: 1.34%
Affidavit eligibility : Yes
Benchmark :
Investment area : World
EU withholding tax on CH distribution : IN
EU withholding tax on CH redemption : IN
TIS CH : 0.4897
TIS EU : 0.4935
Frequency of NAV calculations : Daily
Cut off : Daily 11 am
Net asset value on  07.02.2012: CHF 104.12
YTD performance on  07.02.2012: 1.90 %
Fund’s assets on  07.02.2012 : CHF 391'685'548.23
Year-high NAV  2012 : CHF 104.26
Year-low NAV  2012 : CHF 102.62