BCV Liquid Alternative Beta B (EUR)
The sub-fund BCV Liquid Alternative Beta aims to reproduce the risk/return profile of an investment in a diversified portfolio of hedge funds. To do this, managers invest in the main classes of assets either through direct or indirect positions (futures, swaps, funds) offering a high degree of liquidity. The management style is quantitative. The sub-fund seeks investors who want returns close to that of a diversified investment into hedge funds, with a moderate risk profile and daily liquidity.
NAV
EUR 121.78
14/08/2025
Year-high NAV
EUR 122.30
13/08/2025
Year-low NAV
EUR 111.68
08/04/2025
Performance YTD
3.86%
14/08/2025
TER
0.83%
31/12/2024
Fund’s assets
USD 151'004'323
14/08/2025
Umbrella
BCV FUND (LUX)
Fund
BCV Liquid Alternative Beta
Class
Asset class
Alternative fund UCITS
Legal Form
CIF - UCITS
Fund Launch date
Class Launch date
Class launch price
EUR 100.00
Investment area
World
Fund’s domicile
Luxembourg
Benchmark
HFRX Global Hedge Fd Index
Foreign tax registration
Germany
Austria
Private profile countries
Switzerland
Luxembourg
France
Italy
Distribution
accumulating
Value n°
23701020
ISIN
LU1035012613
Bloomberg ticker
BCVLAEI LX
Portfolio Manager
BCV Asset Management
Custodian bank
Banque et Caisse d’Epargne de l’Etat, Luxembourg
Management fee
0.80%
Subscription fee in favour of fund
0.04%
Redemption fee in favour of fund
0.04%
SRI
3
Cut off
11:00
VNI frequency
Daily
Fiscal Year End
31.12
Documents
Performances de la classe
Past performance is no guarantee of future returns and the historical returns do not take account of issuing commission fees.
NAV
Date | VNI |
---|---|
14/08/2025 | EUR 121.78 |
13/08/2025 | EUR 122.30 |
12/08/2025 | EUR 121.67 |
11/08/2025 | EUR 120.78 |
08/08/2025 | EUR 120.87 |
07/08/2025 | EUR 120.62 |
06/08/2025 | EUR 120.53 |
05/08/2025 | EUR 120.45 |
04/08/2025 | EUR 120.32 |
31/07/2025 | EUR 120.39 |
30/07/2025 | EUR 120.82 |
29/07/2025 | EUR 121.03 |
28/07/2025 | EUR 121.16 |
25/07/2025 | EUR 121.40 |
24/07/2025 | EUR 121.50 |
23/07/2025 | EUR 121.69 |
22/07/2025 | EUR 121.01 |
21/07/2025 | EUR 120.92 |
18/07/2025 | EUR 120.97 |
17/07/2025 | EUR 121.05 |
16/07/2025 | EUR 120.62 |
15/07/2025 | EUR 120.43 |
14/07/2025 | EUR 120.83 |
11/07/2025 | EUR 120.77 |
10/07/2025 | EUR 121.13 |
Distributions
Aucune distribution à ce jour.