BCV (LUX) Strategy Balanced (EUR) A

BCV (LUX) Strategy Balanced (EUR) aims to generate long-term growth in assets, with generation of regular (reinvested) income as a complementary objective. The sub-fund aims to have a balanced asset allocation between fixed-income securities and equities, with a predominant exposure to the euro, which overall gives it a moderate-to-high risk profile. The sub-fund is suited to investors who are looking, despite some volatility, to achieve capital growth in the long term, complemented by income (reinvested).

FRDEENESGRIT
Fund manager's report 03.26
Annual report 12.25 12.24
Semi-annual report 06.25 06.25
Brochure 09.25
Factsheets 03.26 03.26 03.26
PRIIPS KID 04.25 04.25
Prospectus and fund regulation 04.26 03.26
EET 02.25
EMT 07.25
entre
Peformance evolution

Past performance is no guarantee of future returns and the historical returns do not take account of issuing commission fees.

Date VNI
29/04/2022 EUR 157.36
26/04/2022 EUR 156.38
19/04/2022 EUR 159.03
12/04/2022 EUR 159.11
05/04/2022 EUR 161.35
31/03/2022 EUR 160.77
29/03/2022 EUR 161.53
22/03/2022 EUR 161.04
15/03/2022 EUR 156.94
08/03/2022 EUR 156.20
01/03/2022 EUR 160.85
28/02/2022 EUR 161.20
22/02/2022 EUR 161.60
15/02/2022 EUR 163.89
08/02/2022 EUR 164.06
01/02/2022 EUR 166.31
31/01/2022 EUR 165.51
25/01/2022 EUR 164.04
18/01/2022 EUR 167.45
11/01/2022 EUR 168.64
04/01/2022 EUR 170.31
31/12/2021 EUR 169.61
28/12/2021 EUR 169.86
21/12/2021 EUR 167.87
14/12/2021 EUR 168.03
Aucune distribution à ce jour.