2023/03/17 | |
---|---|
NAV | |
3.3382 | |
Difference | -2.65% (-0.09) |
Fund type | Equity Funds |
Investment company | Erste Asset Management GmbH, pobočka Česká republika |
Currency | CZK |
Type | - |
Begin of subscription period | - |
Inception | 2006/08/28 |
Licenced in | CZ |
Duration of fund | open end |
Total assets | 22,076,897,716.00 CZK |
Fiscal year | 01/01 - 12/31 |
Initial charge | 3.00% |
Management fee | 1.95% |
Ongoing charges | 2.31% |
Minimum investment | 300 CZK |
Account number | 35-2001317359/0800 |
Recommended holding period | At least 5 years |
Investor experience | - |
Investor tolerance | 5 (scale 1-7) |
Advantages | Details you should be aware of |
• The currency hedging is actively managed• Money is usually available within a week • Unique investment strategy among funds managed in the Czech Republic | Please note that the target market of this investment instrument is listed below. If you do not meet any of the listed parameters, you may be outside the specified target market! The target market defines the set of investors (retail clients) for whom the investment product is intended. This investment product is intended for investors who: • have sufficient knowledge and/or experience regarding mutual funds and shares. • seek investment profit • are able to accept a level of risk that is in accordance with the risk indicator of the product specified in General attributes. • In the event of an unfavorable development of the investment, they are able to bear loss up to the amount corresponding to the product's risk indicator specified in General attributes. • are interested in investing within the recommended investment period specified in General attributes
• The fund is intended for experienced and dynamic investors • Objective of the fund is to deliver positive long-term performance • Due to the character of the invested assets, the value of the fund may fluctuate during the investment tenure Index table:
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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. |
The fund is an equity mutual fund intended for dynamic investors with a long-term investment horizon. Investment objective of the fund is to deliver positive long-term performance through investments in a concentrated portfolio of equities traded in developed markets. In order to achieve this objective the fund manager applies investment strategy known as "stock picking", which is a method of active search for individual stock titles with a long-term growth potential. The share of the equity part can range from 80% to 100%.The portfolio of the fund usually represents 25 various investments ideas whose weights are usually the same. Due to the significant share of equities in the portfolio and high portfolio concentration, the investment value of the fund can fluctuate significantly in the short-term. In consideration of this investment strategy, the fund is ideal for regular investments and as a part of the equity portion of the investment portfolio. |
Period | YTD |
6m |
1Y (% p a) |
3Y (% p a) |
5Y (% p a) |
10Y (% p a) |
since inc. (% p a) |
Perf | 1.47 | 8.87 | 3.59 | 25.97 | 4.54 | 8.96 | 7.72 |
Period | 2018 | 2019 | 2020 | 2021 | 2022 |
Perf | -14.40 | 22.84 | 18.02 | 10.08 | -7.44 |
Sharpe Ratio | - |
Volatility in % | - |
1Y | 149.40 ![]() |
![]() -66.06 | |
3Y | 48.75 ![]() |
![]() -12.76 | |
5Y | 35.31 ![]() |
![]() -7.27 | |
10Y | 20.79 ![]() |
4.26 ![]() |
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 |
US09062X1037 | Biogen | USD | 5.08 |
US8036071004 | Sarepta Therapeutics | USD | 4.83 |
US09061G1013 | BioMarin Pharmaceuticals | USD | 4.50 |
US64110L1061 | Netflix | USD | 4.24 |
US8826811098 | Texas Roadhouse | USD | 4.20 |
US8760301072 | Tapestry | USD | 4.09 |
US98956P1021 | Zimmer Biomet | USD | 4.08 |
US0942351083 | Bloomin' Brands | USD | 4.05 |
US8552441094 | Starbucks | USD | 4.03 |
US0708301041 | Bath & Body Works | USD | 3.85 |
![]() | 25.29 % | Other |
![]() | 19.53 % | Biotechnology |
![]() | 16.01 % | Restaurants |
![]() | 7.68 % | Apparel, Accessories and Luxury |
![]() | 7.21 % | Specialty Stores |
![]() | 7.08 % | Airlines |
![]() | 5.25 % | Hotels, Resorts & Cruise Lines |
![]() | 4.24 % | Movies & Entertainment |
![]() | 4.24 % | Oil & Gas Exploration & Production |
![]() | 3.45 % | Distributors |
![]() | 72.05 % | USD |
![]() | 16.60 % | Ostatní evropské měny |
![]() | 7.91 % | CZK |
![]() | 3.44 % | EUR |
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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