2019/12/12 | |
---|---|
NAV | |
1.0873 | |
Difference | 0.17% (0.00) |
Fund type | Flexible Balanced Funds |
Investment company | Erste Asset Management GmbH, pobočka Česká republika |
Currency | CZK |
Type | - |
Begin of subscription period | - |
Inception | 2014/06/02 |
Licenced in | CZ |
Duration of fund | open end |
Total assets | 194,401,526.00 CZK |
Fiscal year | 01/01 - 12/31 |
Initial charge | 2.00% |
Management fee | 1.10% |
Ongoing charges | 1.77% |
Minimum investment | 300 CZK |
Account number | - |
Recommended holding period | At least 5 years |
Investor experience | - |
Investor tolerance | 4 (scale 1-7) |
Advantages | Details you should be aware of |
• A modern, active investment strategy ensures a good balance of risk and return• The broad investment in a vast array of assets allows for a significant degree of risk diversification in the fund, which may reduce the risk of capital losses• You can sell your investment at any time at the current redemption price | • Investments on the capital markets are subject to market price fluctuations• Capital loss is possible• Foreign exchange fluctuations may have a negative effect on the price of the fund• the product only for clients of Erste Premier and Erste Private Banking• one-off payment up to CZK 50,000• regular deposit up to CZK 1,000 |
Purchase of share certificates Redemption/sale of share certificates For new clients: |
Full names of open Mutual funds are given in the fund statutes (prospectuses). Pursuant to rules applicable to collective investment, the manager informs that neither the current or expected performance will guarantee the future performance. Investment in investment certificates contains the risk that the current value of amount invested and yields on the amount will fluctuate; thus return on the amount invested is not guaranteed. All information provided herein is of informative nature only and it should not substitute the statute (prospectus) or give its overall summary. Before using this website/information for investment, you should consult consultants of Česká spořitelna. If any yield is mentioned in the reference material, you should always bear in mind that past yields will not guarantee future yields, that any investment is subject to the risk of value fluctuations and change of exchange rates, and that return on the amount invested or profit margin cannot be guaranteed. |
YOU INVEST active offers investors a dynamic mix of different asset classes. Within the YOU INVEST product family for retail clients, this is the fund for investors with the highest risk appetite and is suitable for the long-term building of capital. The price fluctuations may be comparatively significant. Our experts continuously monitor the portfolio and optimise it in accordance with the opportunities on the market. The fund management is implemented on the basis of a traceable and structured investment process. |
Period | YTD |
6m |
1Y (% p a) |
3Y (% p a) |
5Y (% p a) |
10Y (% p a) |
since inc. (% p a) |
Perf | 9.90 | 3.40 | 6.17 | 2.94 | 1.43 | - | 1.44 |
Period | 2014 | 2015 | 2016 | 2017 | 2018 |
Perf | - | -1.15 | 0.91 | 6.21 | -7.94 |
1Y | 8.72 ![]() |
![]() -9.17 | |
3Y | 3.10 ![]() |
![]() -0.52 | |
5Y | 1.75 ![]() |
0.76 ![]() |
Full names of open Mutual funds are given in the fund statutes (prospectuses). Pursuant to rules applicable to collective investment, the manager informs that neither the current or expected performance will guarantee the future performance. Investment in investment certificates contains the risk that the current value of amount invested and yields on the amount will fluctuate; thus return on the amount invested is not guaranteed. All information provided herein is of informative nature only and it should not substitute the statute (prospectus) or give its overall summary. Before using this website/information for investment, you should consult consultants of Česká spořitelna. If any yield is mentioned in the reference material, you should always bear in mind that past yields will not guarantee future yields, that any investment is subject to the risk of value fluctuations and change of exchange rates, and that return on the amount invested or profit margin cannot be guaranteed. |
ISIN | Name | Currency | %FA |
CZ0008474863 | FOND STATNICH DLUHOPISU | - | 10.77 |
LU0616945100 | CANDR BONDS-EMER MKTS-V | - | 10.26 |
LU1382551585 | ASHMORE-EM LOC CUR BD-IEURU | - | 8.58 |
CZ0008473188 | LIKVIDITNI FOND | - | 6.75 |
AT0000A1YRA2 | ESPA BOND DOLLAR USD D02 | - | 6.59 |
AT0000A1Y9A6 | ESPA MORTGAGE-EUR D02 V | - | 5.39 |
LU1280280568 | GS US CORE EQUITY PT-I AC CL | - | 4.14 |
LU0188798671 | PICTET - USA INDEX - I USD | - | 3.96 |
AT0000697081 | XT USA | - | 3.04 |
AT0000A1Y3E1 | ESPA BOND USA HI YLD-EUR DPM C | - | 3.03 |
![]() | 50.28 % | Bonds Markets |
![]() | 24.83 % | Equity Markets |
![]() | 14.85 % | Money Markets |
![]() | 10.04 % | Alternative Markets |
![]() | 1.10 % | Equity Futures |
Full names of open Mutual funds are given in the fund statutes (prospectuses). Pursuant to rules applicable to collective investment, the manager informs that neither the current or expected performance will guarantee the future performance. Investment in investment certificates contains the risk that the current value of amount invested and yields on the amount will fluctuate; thus return on the amount invested is not guaranteed. All information provided herein is of informative nature only and it should not substitute the statute (prospectus) or give its overall summary. Before using this website/information for investment, you should consult consultants of Česká spořitelna. If any yield is mentioned in the reference material, you should always bear in mind that past yields will not guarantee future yields, that any investment is subject to the risk of value fluctuations and change of exchange rates, and that return on the amount invested or profit margin cannot be guaranteed. |
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