🦧 Carmignac Long Short European Equities

LONGSHORT EUROPEAN EQUITIES LUXEMBOURG SICAV SUB-FUND LOWER RISK HIGHER RISK Potentially lower return Potentially 3YEARS LU0992627298 Monthly Factsheet - 31/10/2023 * For the share class Carmignac Portfolio Long-Short European Equities . Risk Scale from the KID (Key Information Document). Risk 1 does not mean a Overthe last 3 years, our European Long-Short Equity strategy’s sensitivity to the European equity market has been very low at 0.2; which means that if the European equity market loses 1%, our strategy would lose 0.2% on average. This shows how the Fund can behave quite differently while still being exposed to European equities. CarmignacLong-Short European Equities A EUR Acc Malte Heininger desde 31/12/2015 RENTABILIDAD ACUMULADA Y ANUALIZADA (a 28/04/2023 - Neta de comisiones) Rentabilidades acumuladas (%) Rentabilidades anualizadas (%) Desde el 30/12/2022 1 Mes 1 año 3 años 5 años 10 años 3 años 5 años 10 CarmignacEuropean Long Short Equity: Letter from the Fund Manager Quarterly report Carmignac 6 minuto (s) de lectura Comparta nuestra página a través CarmignacLong-Short European Equities : Gráfico con noticias y análisis de impacto técnico de las informaciones de los mercados sobre las cotizaciones de Carmignac Long-Short European Equities | Deutsche Boerse AG: Y9U2 | CARMIGNACLONG-SHORT EUROPEAN EQUITIES - A EUR YDIS (ISIN : FR0011269406). Monthly Performance Scenarios Data is provided in EUR As of 28/02/2023 the favorable scenario occurred for an investment between 29/02/2016 and 28/02/2019. Findout our views and positioning on the Fund for the third quarter of 2023 Quarterly report Carmignac. Kontakt Profil: Profil auswählen CH / de. Willkommen bei Carmignac Aktuell sind Sie auf der Seite für Privatanleger. Um zur Seite für professionelle Anleger zu gelangen, Wechseln Sie bitte Ihr Profil. LONGSHORT EUROPEAN EQUITIES A EUR ACC COMPARTIMENTO DE SICAV DE DERECHO LUXEMBURGUÉS MENOR RIESGO MAYOR RIESGO 1 2 3* 3AÑOS LU1317704051 Informe mensual - 31/05/2023 * Para la clase de participación Carmignac Portfolio Long-Short European Equities A EUR Acc. Escala de riesgo del KID MITDER LONG/SHORT-STRATEGIE VERBUNDENES RISIKO: Dieses Risiko ist mit den Kauf- und/oder Verkaufspositionen verbunden, die zur Anpassung des Nettoengagements am Markt eingegangen werden. Der Fonds könnte hohe Verluste erleiden, wenn sich seine Long- und Short-Positionen gleichzeitig negativ entwickeln. Findthe latest Carmignac Long-Short European Equities (Y9U2.F) stock quote, history, news and other vital information to help you with your stock trading and investing. CarmignacPortfolio Long-Short European Equities F USD Acc Hdg Carmignac Portfolio Long-Short European Equities F USD Acc Hdg. Actions. Add to watchlist; Add to portfolio; Price (USD) 166.06; Today's Change 0.12 / 0.07%; 1 Year change +2.80%; Data delayed at least 15 minutes, as of Dec 29 2023. CarmignacEuropean Long Short Equity: Letter from the Fund Manager Quarterly report Carmignac 6 minute (s) read Q2 2023 was a challenging quarter for us, CARMIGNACPORTFOLIO LONG-SHORT EUROPEAN EQUITIES : LETTER FROM THE FUND MANAGER 23/10/2023 | MALTE HEININGER DEAR INVESTORS, Overall, we CarmignacPortfolio Long-Short European Equities F CHF Acc Hdg - Jan 2014 to date: Portfolio manager, European equities (Carmignac Gestion, London, UK) - 2003: SummaryCharts Performance Assets & holdings Risk Ratings Historical prices Profile and investment Top 5 holdings Data delayed at least 15 minutes, as of YPcyP.

carmignac long short european equities