BCV Systematic Premia Equity Opportunity A (CHF) - in liquidation
The objective of the BCV Systematic Premia Equity Opportunity Subfund is to generate capital gains with a lower average level of volatility than equities. This is achieved by investing in various risk premium strategies using long/short equity positions to provide additional sources of performance and diversification compared to the traditional market. As its exposure to the market is reduced, the portfolio managers may add a directional component by taking complementary positions on the major global stock indices. For holdings whose reference currency is not the same as the Subfund, currency hedging may be used to eliminate the risks associated with foreign exchange fluctuations.
NIW
CHF 115.63
18.09.2024
NIW Höchstwert
-
-
NIW Tiefstwert
-
-
Performance YTD
4.46%
18.09.2024
TER
1.59%
30.06.2024
Vermögen des Fonds
USD 99'643'852
18.09.2024
Umbrella
BCV FUND (LUX)
Teilfonds
BCV Systematic Premia Equity Opportunity
Klasse
Anlagekategorie
Equity
Fondskategorie
CIF - UCITS
Lancierungsdatum des Fonds
Lancierungsdatum der Klasse
Lancierungspreis
CHF 100.00
Anglagegebiet
World
Fondsdomizil
Luxembourg
Referenzindex
No benchmark
Verkaufsregistrierung
Switzerland
Luxembourg
Distribution
accumulating
Valoren
10340351
ISIN
LU0440307303
Bloomberg Ticker
AMCCECA LX
Portfolio Manager
BCV Asset Management
Depotbank
Banque et Caisse d’Epargne de l’Etat, Luxembourg
Management fee
1.55%
Ausgabekommission
0.08%
Rücknahmekommission
0.08%
SRI
3
Cut off
14:00
Bewertungsfrequenz
Wöchentlich
Geschäftsjahresende
31.12
Dokumente
Performance der Klasse
NIW
Datum | NIW |
---|---|
18.09.2024 | CHF 115.63 |
10.09.2024 | CHF 114.89 |
03.09.2024 | CHF 115.98 |
30.08.2024 | CHF 116.61 |
27.08.2024 | CHF 116.23 |
20.08.2024 | CHF 115.74 |
13.08.2024 | CHF 114.18 |
06.08.2024 | CHF 112.75 |
31.07.2024 | CHF 115.61 |
30.07.2024 | CHF 114.90 |
23.07.2024 | CHF 115.25 |
16.07.2024 | CHF 115.69 |
09.07.2024 | CHF 114.66 |
02.07.2024 | CHF 114.55 |
30.06.2024 | CHF 114.34 |
25.06.2024 | CHF 114.60 |
18.06.2024 | CHF 114.59 |
11.06.2024 | CHF 114.40 |
04.06.2024 | CHF 114.47 |
31.05.2024 | CHF 114.85 |
28.05.2024 | CHF 114.61 |
21.05.2024 | CHF 114.99 |
14.05.2024 | CHF 114.56 |
07.05.2024 | CHF 113.93 |
30.04.2024 | CHF 112.76 |
Distributions
Bisher keine Ausschüttung.