IMPORTANT NOTE: This Fund website is intended only for “professional investors” (within the meaning of the Securities and Futures Ordinance (Cap. 571 of the laws of Hong Kong) or the Securities and Futures (Professional Investor) Rules (Cap 571D of the laws of Hong Kong)). This website has not been reviewed by the Securities and Futures Commission in Hong Kong (“SFC”) and contains information on investment products that are not authorised by the SFC for sale to the public in Hong Kong. If you are in any doubt about the contents of this website, you should obtain independent professional advice.
Ofi Invest ESG China Equity All Shares CLASS N EUR
Share
ISIN: LU2393988717
According to the SFDR (Sustainable Finance Disclosure Regulation), this product promotes environmental or social characteristics but does not aim at sustainable investment.
Investors should be aware and prepared to accept that, for those Funds which have a sustainable management process, this process is based on the use of a proprietary model to determine the ESG score. There is a risk that this model may not be efficient. The performance of these Funds may therefore be below the management objective.Article 8
Investors should be aware and prepared to accept that, for those Funds which have a sustainable management process, this process is based on the use of a proprietary model to determine the ESG score. There is a risk that this model may not be efficient. The performance of these Funds may therefore be below the management objective.Article 8
NET ASSET VALUE|04/12/24
1 002.48 EUR
1 002.48 EUR
FIRST NAV DATE
07/07/2022
07/07/2022
TOTAL AUM|04/12/24
96.82 MEUR
96.82 MEUR
FUND UNIT AUM|04/12/24
14.94 MEUR
14.94 MEUR
YTD
from 29/12/23 to 04/12/24
- 24.79%
1 YEAR
from 05/12/23 to 04/12/24
- 23.61%
SINCE INCEPTION
from 15/11/22 to 04/12/24
- 0.25%
- Legal form
- SICAV
- Inception date
- 07/07/2022
- Recommended investment horizon
- SRRI: SRRI is an indicator going from 1 to 7 and corresponding to increasing risk levels. Risk and performance category indicated in this document is subject to change. This category is determined by the application of a regulatory methodology. For more details about this methodology, please refer to the Key investor information document (KIID).
- N/A
-
NET ASSET VALUE|1 002,48
-
CURRENCY|EUR
-
NAV DATE|04/12/2024
Historical Net Asset Values
SELECT DATES
- ISIN CodeLU2393988717
- Unit currencyEUR
- Agreement date01/06/2022
- Inception date07/07/2022
- First NAV date07/07/2022
- Valuation frequencyDaily
- Regulatory authority
- AMF classification
- UCITS V classification
- Legal formSICAV
- Fund of funds Non
- Feeder Non
- Distribution policyAccumulation / Distribution
- ‘PEA’ eligible Non
- Maximum management fees2.20 %
- Maximum susbscription fees0.00 %
- Maximum redemption fees0.00 %
- Maximum subscription fees – non acquired0.00 %
- Maximum redemption fees– non acquired 0.00 %
- Outperformance fees
- CustodianSOCIETE GENERALE BANK TRUST LUXEMBOURG
- Administrative agentSOCIETE GENERALE SECURITIES SERVICES LUXEMBOURG
- Asset management companyOFI INVEST LUX
- Delegated asset management companySYNCICAP AM
- Subscription cut-off
- Subscription cut-off time12:00:00
- Redemption cut-off
- Redemption cut-off time12:00:00
- Settlement date
- Decimalisation5 decimals
- Terms of redemption
- Terms of subscription
- Minimum subscription amount1.00 EUR
- Minimum subscription units0.00
- Minimum initial subscription amount1.00 EUR
- Minimum initial subscription units1.00
The KIID must be provided to investors prior to any investment being made. Practical information, risk and reward profile and charges related to the investment in a fund are described in the fund’s KIID.
The figures mentioned cover past years. Past performances are not a reliable indicator of future performances. The investments mentioned herein are one way to capture financial market returns in exchange for a certain amount of risk. Invested capital and performances are not guaranteed, and there exists a risk of loss of capital.