263.18 € at 09/03/2010

Carmignac Euro-Patrimoine ISIN : FR0010149179   

Europe-wide wealth management from Carmignac Gestion.


Carmignac Euro-Patrimoine has a maximum 50% exposure to equity market risks. Its flexible equity and bond management can be adapted to different market phases and ensures truly pan-European diversification. Its recommended minimum investment horizon is 3 years
Semi-annual report Annual report
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Carmignac Euro-Patrimoine is a diversified fund with a minimum investment of 75% in EU equities. The objective of the fund is to achieve steady absolute return by using a non-benchmarked active management strategy without regard to sector allocation, asset type or stock size. In order to reduce fluctuations in the portfolio, a maximum of 25% of the assets can be invested in fixed income products denominated in euro.

Outstanding , 361 562 000 EUR
* 50% DJ Euro Stoxx 50 + 50% Eonia Capitalised. Rebalanced at 1 January each year.