BCV Systematic Premia Global C (USD)

The objective of the BCV Systematic Premia Global Sub-fund consists in investing in various alternative risk premia, with the aim of generating complementary sources of return and diversification when compared to traditional markets. This strategy is designed to take advantage of alternative risk premia in various asset classes, such as equities, currencies, bonds, credit, and commodities. The Sub-fund is intended for investors seeking complementary sources of return and diversification compared to traditional markets, while maintaining a lower risk profile than that of equities. This product is intended for investors with an investment horizon exceeding three years.

FRDEENESGRIT
Fund manager's report 03.26
Annual report 12.24 12.24
Semi-annual report 06.25 06.25
Factsheets 03.26 03.26 03.26
PRIIPS KID 12.25
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
26/04/2022 USD 102.58
19/04/2022 USD 102.45
12/04/2022 USD 101.67
05/04/2022 USD 99.35
31/03/2022 USD 99.72
29/03/2022 USD 99.67
22/03/2022 USD 99.59
15/03/2022 USD 101.66
08/03/2022 USD 100.00
Aucune distribution à ce jour.