BNP PARIBAS EUROPE GROWTH X C

Cours en clôture Fonds  -  17/05
112.36 EUR   +1.66%
 SynthèsePerformancesGraphiquesCompositionCaractéristiques 
Partenaires
Stratégie du fonds géré par BNP PARIBAS ASSET MANAGEMENT LUXEMBOURG
This sub-fund increases the value of its assets over the medium term by investing primarily in European equities. At all times, this sub-fund invests at least 75% of its assets in equities and/or equity equivalent securities issued by companies that the management team deems to have greater-than-average potential for growth and/or relatively stable growth in profits and that have their registered offices either in a country member of the EEA, or in the United Kingdom, other than non-cooperative countries in the fight against fraud and tax evasion. When deciding on allocations and selecting securities, the Investment Manager will seek to diversify exposure to different sectors and issuers in order to reduce risk.
Performances du fonds : BNP Paribas Europe Growth X C
Performances Historiques Glissantes au 17-05-2022
Début d'année 1 mois 3 mois 6 mois 1 an 3 ans Max
Fonds -12.98% -3.09% -4.21% -14.54% -3.64% - +78.24%
Catégorie -18.14% -6.01% -7.44% -19.36% -6.05% 26.32% -
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Exposition par type d'actif au 28-02-2022
Long Court Nets
99.27% 0% 99.27%
0.72% 0% 0.72%
0.01% 0% 0.01%
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Parts du fonds
Nom1er Jan3 ansNotationTailleFrais
BNP Paribas Europe Growth C C-13.57%14.89%25M EUR1.5%
BNP Paribas Europe Growth C D-13.56%14.90%9M EUR1.5%
BNP Paribas Europe Growth I C-13.22%18.46%190M EUR0.75%
BNP Paribas Europe Growth N C-13.80%12.36%1M EUR1.5%
BNP Paribas Europe Growth Privl C-13.26%18.07%5M EUR0.75%
BNP Paribas Europe Growth Privl D-13.26%18.05%64M EUR0.75%
BNP Paribas Europe Growth X C-12.98%0.00%NC6M EUR0%
BNP Paribas Europe Growth C RH USD MD D-6.22%26.74%NC2M USD1.5%
BNP Paribas Europe Growth C RH SGD MD D-8.76%25.13%NC1M SGD1.5%
BNP Paribas Europe Growth C RH SGD C-8.74%25.12%NC0M SGD1.5%
Autres fonds de la catégorie: Actions Europe Gdes Cap. Croissance
 Nom1er Jan3 ansNotationTaille
AAF-Liontrust European Sust Eqs A €-21.32%20.36%NC30 M EUR
AAF-Liontrust European Sust Eqs F €-21.08%23.24%NC11 M EUR
AAF-Liontrust European Sust Eqs R €-21.10%23.09%NC5 M EUR
AB Sustainable Europe Thematic A EUR-17.77%27.74%NC0 M EUR
AB Sustainable Europe Thematic I EUR-17.56%30.15%NC0 M EUR
Aberdeen European Sstnb Eq A Acc EUR-18.09%16.10%NC86 M EUR
Aberdeen European Sstnb Eq I Acc EUR-16.67%20.59%NC39 M EUR
Aberdeen European Sstnb Eq J Acc EUR-16.55%0.00%NC0 M EUR
Aberdeen European Sstnb Eq K Acc EUR-16.54%0.00%NC89 M EUR
Aberdeen European Sstnb Eq S Acc EUR-17.05%16.29%NC46 M EUR
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Gestion
Société de gestion BNP Paribas Asset Management Luxembourg
Date de création 17-12-2013

Gérant Depuis
Peter Abbott 01-10-2018
Daan Douglas 15-10-2021
Description
PEA
NON
PEA PME
NON
Date de création 17-12-2013
Devise EUR
Structure Juridique SICAV
Catégorie AMF Fonds étrangers
Catégorie Morningstar Actions Europe Gdes Cap. Croissance
Zone d'investissement Europe
Benchmark MSCI Europe NR EUR 100%
Actifs nets de la part 6 M EUR au 30-09-2020
Fréquence des VL Quotidienne
Dépositaire et conservateur BNP Paribas Securities Services (Lux)
Commisaire aux comptes PricewaterhouseCoopers Société coopérati
Boîte de style Morningstar
Volatilité au 31-07-2015
Ecart-type 1 an: 11.77%
Ratio de Sharpe 1 an 1.69
Performance moyenne 1 an -3.64