Home > Funds > PIGUET LONG TERM FUND - Dynamic E
Key dataNAVPerformanceDistributionPublication

PIGUET LONG TERM FUND - Dynamic E

Value No : 10829079
ISIN No : CH0108290799
Ticker Bloomberg : PIGLTDE SW

Fund’s investment objective

The investment objective for the sub-funds is to safeguard capital and achieve an absolute return over the long term to match or better that on leading equity or bond markets. The strategy is to achieve this objective through a dynamic and flexible weighted allocation, coupled with low volatility.

Fund facts
Fund’s domicile : Switzerland
Portfolio Manager : Piguet Galland & Cie SA, Yverdon-les-Bains
Launch date : 7 May 2010
Launch price : USD 100.00
Close of financial year : 31 May
Management
fee :
1.50%
TER to 31.05.2011: 0.00%
Affidavit eligibility :
Benchmark :
Investment area : World
EU withholding tax on CH distribution : OUT
EU withholding tax on CH redemption : OUT
TIS CH : 0
TIS EU : 0
Frequency of NAV calculations : The NAV is calculated every Friday and will be published every Tuesday or the first bank business day in Switzerland that follows if the Friday is a public holiday.
Cut off : Friday 12 am
Net asset value on  03.02.2012: USD 102.60
YTD performance on  03.02.2012: 4.54 %
Fund’s assets on  03.02.2012 : USD 30'517'941.42
Year-high NAV  2012 : USD 102.60
Year-low NAV  2012 : USD 98.28