4981.82 € at 09/03/2010

Carmignac Patrimoine (A) ISIN : FR0010135103   

The performance of a renowned global wealth management strategy.


Carmignac Patrimoine is a mixed equity and bond fund. It has a maximum 50% exposure to international equities. Its flexible approach allied to strategic risk management gives it the capacity to generate performance in all climates. Its recommended minimum investment horizon is 3 years.
Semi-annual report Annual report
1performances
graph-cumul

0historique

Value at

History:

from

at
0caracteristiques

Carmignac Patrimoine is an international equities and bonds fund invested on the global financial markets. The objective of the fund is to achieve steady absolute return through active management without regard to benchmarks, sectors, asset type or stock size. In order to reduce fluctuations in the portfolio, a minimum of 50% of assets is permanently invested in fixed income and/or money market instruments.

Outstanding , (A) 15 807 956 000 EUR
* 50% MSCI ACW (Eur) + 50% Citigroup WGBI all maturities (Eur). Rebalanced at 1 Januar each year.