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Anima Geo Italia A

classificato 17 su 37 di - Italia su un periodo di 12 mesi
All calculations are in EUR unless stated

Gestito da

Luigi Dompè

Luigi Dompè was born in Turin, Italy in 1974. He graduated from Turin University with a degree in economics. Luigi started his career at Banca Sella in 1999 and worked as an assistant portfolio manager responsible for the bank’s bond portfolio and was promoted to equity analyst in 2002. Luigi joined Monte Paschi Asset Management in 2005 and served as an assistant portfolio manager focusing on the Italian, European and emerging equity markets. He is currently a portfolio manager at Prima SGR having joined in 2008. He adopts a value-oriented investment style and implements peer group analysis to find undervalued stocks. He is a CFA Charterholder. Outside of the fund management, he likes travelling and all sorts of sports.

Obiettivo

The aim of the fund is to increase the value of invested capital investing primarily in Italian equity. . Category of issuers: mainly issuers listed on official or regulated italian markets and also italian company listed on other official or regulated markets, and which demonstrate long-term steady growth prospects. The financial instruments are mainly denominated in Euro. Diversification of investments across all economic sectors. Geographical investment areas: mainly regulated market of Italy.

Performance

Italia su un periodo di : 31/01/2016 - 31/01/2017
  • Classificazione 17/37 Rendimento totale
  • Classificazione 8/37 Deviazione Standard
  • Classificazione 10/37 Perdita Massima
Nome del Fondo Currency Ritorno
15 Anima Italia A EUR

2,5%

16 Schroder ISF Italian Equity A Dis EUR

2,1%

17 Anima Geo Italia A EUR

1,9%

18 Fondersel PMI EUR

1,7%

19 AZ Fund 1 Italian Trend A AZ FUND Acc EUR

1,6%

Rendimento totale

Performance trimestrale

a 01/01/2017 Annuale T1 T2 T3 T4
2016 -7,8% -12,6% -7,8% 0,6% 13,7%
2015 17,7% 22,5% -1,3% -4,4% 1,9%
2014 3,1% 13,8% -0,4% -2,9% -6,3%
2013 25,0% -1,6% 3,0% 12,8% 9,4%
2012 13,6% 8,3% -8,2% 7,6% 6,1%
2011 -18,3% 6,0% -3,2% -22,5% 2,8%
2010 -3,9% -0,1% -11,6% 6,9% 1,7%
2009 26,7% -12,8% 21,6% 19,1% 0,4%
2008 -45,5% -15,3% -2,7% -16,1% -21,2%
2007 -1,1% 3,8% 5,0% -4,8% -4,7%
2006 20,3% 10,3% -3,9% 4,8% 8,2%
2005 16,1% 4,9% 2,8% 7,1% 0,6%
2004 17,7% 1,1% 6,4% -1,4% 11,0%
2003 17,0% -7,1% 16,0% 0,0% 8,6%
2002 -23,1% 4,1% -13,9% -19,5% 6,5%
2001 -22,9% -11,8% -3,2% -18,6% 10,9%
2000 5,0% 20,3% -4,8% -1,1% -7,3%
1999 35,1% 2,6% -1,0% -3,2% 37,5%
1998 38,5% 47,8% -6,7% -20,0% 25,7%
1997 54,4% 7,9% 16,4% 19,6% 2,9%
1996 16,3% -2,5% 17,2% -1,8% 3,7%
1995 -1,2%

Performance mensile

Rendimento vs rischio

Registrato Per La Vendita In

  1. Italy

Informazioni sul fondo

  • Inizio collocamento24/11/1994
  • Dimensione share class262Mn
  • Valuta di baseEUR
  • ISIN IT0001036315

Informazioni per l'acquisto

  • Investimento aggiuntivo minimo500
  • Investimento aggiuntivo minimo50

Commissioni

La performance è relativa al periodo indicato (da fine mese a fine mese, bid/bid, reddito lordo reinvestito, calcolato in EUR).