2023/12/01 | |
---|---|
NAV | |
1,575.5300 | |
Difference | 0.08% (1.32) |
Fund type | Equity Funds |
Investment company | Erste Asset Management GmbH |
Currency | CZK |
Type | VT |
Begin of subscription period | - |
Inception | 1990/10/01 |
Licenced in | AT,CZ |
Duration of fund | open end |
Total assets | 35,012,388.84 EUR |
Fiscal year | 06/01 - 05/31 |
Initial charge | 3.00% |
Management fee | 1.80% |
Ongoing charges | 2.18% |
Minimum investment | According to offer |
Account number | - |
Recommended holding period | At least 6 years |
Investor experience | - |
Investor tolerance | 5 (scale 1-7) |
Advantages | Details you should be aware of |
Broadly diversified investment in companies of Central and Eastern Euopean emerging markets with little capital investment. Opportunities for capital appreciation. The fund is suitable as an addition to an existing equity portfolio and is intended for long-term capital appreciation. | The price of the funds can fluctuate considerably (high volatility). Due to the investment in foreign currencies, the net asset value in Euro can fluctuate due to changes in the exchange rate. Capital loss is possible. Risks that may be significant for the fund are in particular: credit and counterparty risk, liquidity risk, custody risk, derivative risk and operational risk. Comprehensive information on the risks of the fund can be found in the prospectus or the information for investors pursuant to § 21 AIFMG, section II, "Risk information". |
Purchase of share certificates |
Unless explicitly noted otherwise, performance figures for periods of less than ten years always start from the launch of the fund. Performance figures for periods of less than 12 months in particular are not indicative of a fund’s development due to their short-term nature. |
ERSTE STOCK EUROPE EMERGING may exhibit increased volatility due to the composition of its portfolio: i.e. the unit value can be subject to significant fluctuations both upwards and downwards within short periods of time. |
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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. |
ERSTE STOCK EUROPE EMERGING invests primarily in companies domiciled or with business interests in Central, Southern and Eastern European countries (including Turkey) excluding Russia. The Fund’s investment process is based on fundamental company analysis. Names are selected from among companies that meet high quality standards and post strong growth rates. Foreign currency risks are generally not hedged, but hedging is possible. Information about the segregation of the illiquid, non-fungible portion of the Fund as of 7 October 2022 due to the current political situation and the associated uncertainties regarding the fungibility of the Moscow Exchange can be found here |
Period | YTD |
6m |
1Y (% p a) |
3Y (% p a) |
5Y (% p a) |
10Y (% p a) |
since inc. (% p a) |
Perf | 20.45 | - | 38.87 | 10.16 | 3.31 | -0.61 | 2.79 |
Period | 2018 | 2019 | 2020 | 2021 | 2022 |
Perf | -7.84 | 34.85 | -16.79 | 21.60 | -20.68 |
Sharpe Ratio | - |
Volatility in % | 28.10 |
1Y | 192.28 ![]() |
![]() -74.79 | |
3Y | 57.11 ![]() |
![]() -32.16 | |
5Y | 41.49 ![]() |
![]() -16.39 | |
10Y | 16.79 ![]() |
![]() -9.07 |
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 |
PLPZU0000011 | POWSZECHNY ZAKLAD UBEZP. | PLN | 6.77 |
PLPKO0000016 | PKO BANK POLSKI S.A. ZY 1 | PLN | 6.57 |
GRS323003012 | EUROBANK ERGASIAS EO-,22 | EUR | 5.56 |
PLPEKAO00016 | BANK POLSKA KASA OP. ZY 1 | PLN | 5.33 |
LU2237380790 | ALLEGRO.EU ZY -,01 | PLN | 4.95 |
PLPKN0000018 | ORLEN S.A. ZY 1,25 | PLN | 4.84 |
GRS003003035 | NATL BK GREECE NAM.EO 1 | EUR | 4.65 |
CZ0005112300 | CEZ AS INH. KC 100 | CZK | 4.04 |
HU0000153937 | MOL NYRT. NA A UF 125 | HUF | 3.90 |
US66980N2036 | NOVA LJUBLJ.BK GDR REG.S | EUR | 3.59 |
![]() | 35.36 % | Poland |
![]() | 23.56 % | Turkey |
![]() | 16.37 % | Greece |
![]() | 9.88 % | Hungary |
![]() | 6.65 % | Czech Republic |
![]() | 3.69 % | Slovenia |
![]() | 2.29 % | Romania |
![]() | 1.73 % | Netherlands |
![]() | 42.59 % | Financials |
![]() | 16.45 % | Energy |
![]() | 10.19 % | Industrials |
![]() | 9.29 % | Consumer Discretionary |
![]() | 4.97 % | Utilities |
![]() | 4.88 % | Consumer Staples |
![]() | 3.73 % | Communication Services |
![]() | 3.31 % | Materials |
![]() | 2.75 % | Health Care |
![]() | 1.73 % | Real Estate |
![]() | 34.37 % | PLN |
![]() | 23.75 % | EUR |
![]() | 23.11 % | TRY |
![]() | 9.61 % | HUF |
![]() | 6.47 % | CZK |
![]() | 2.23 % | RON |
![]() | 0.46 % | Others |
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. |
Any information, material and services regarding financial instruments and securities provided by Česká spořitelna/Erste Group/ or any of its affiliates (collectively “Erste Group“) on this and any linked website hereafter (jointly the “Websites“) shall be exclusively to investors who are not subject to any legal sale or purchase restrictions.
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