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CompAM Fund - Active Equity Selection A EUR

classificato 42 su 244 di - Europa su un periodo di 12 mesi
All calculations are in EUR unless stated

Gestito da

Roberto Condulmari

Roberto Condulmari has over 25 years of investment experience and currently works at Compass who he joined in May 2014. Prior to that he was one of the founding partners of Kairos Investment Management Spa (today Kairos Julius Baer), CEO of Kairos Investment Management Ltd London and fund manager of various funds managed by the Kairos Group. He started his career with Citibank in Milan in 1989 as an Italian equity research analyst. He then moved to Gemina Credit Lyonnais in Milan in 1991 where he was the head of the Italian research team. In 1992, Roberto joined Giubergia Warburg where he was also the head of the Italian research team. He holds a ‘cum laude’ degree in Economics from the University La Sapienza in Rome.

Edoardo Matarrese

Edoardo Matarrese joined Compass Asset Management in July 2014. He began his career in the equity research team at Kairos Investment Management in London in July 2013. Matarrese graduated from Bocconi University in Milan.

Obiettivo

The Sub-Fund aims to obtain long-term gains in capital invested under the risk diversification principle, by investing principally, in selected equities or equity-related securities predominantly but not exclusively issued by issuers domiciled in or deriving a significant part of their revenues from Europe and listed on a recognized stock exchange or dealt in on another Regulated Market. Cogito Sub-Fund may also invest in other transferable securities, including bonds and other debt securities.

Performance

Europa su un periodo di : 31/12/2017 - 31/12/2018
  • Classificazione 42/244 Rendimento totale
  • Classificazione 199/244 Deviazione Standard
  • Classificazione 88/244 Perdita Massima

Rendimento totale

Performance trimestrale

a 31/12/2018 Annuale T1 T2 T3 T4
2018 -9,0% -2,7% 5,0% 0,4% -11,3%
2017 10,3% 7,0% 0,7% 4,7% -2,3%
2016 4,8% -9,1% -1,9% 6,4% 10,4%
2015 6,3% 14,7% -3,9% -8,6% 5,6%
2014 -3,3% -1,3%

Performance mensile

Rendimento vs rischio

Registrato Per La Vendita In

  1. Italia
  2. Lussemburgo
  3. Svizzera

Informazioni sul fondo

  • Inizio collocamento30/04/2014
  • Dimensione share class01Mn
  • Valuta di baseEUR
  • ISIN LU1055115312

Informazioni per l'acquisto

  • Investimento aggiuntivo minimo1.000
  • Investimento aggiuntivo minimo0

Commissioni

  • Commissioni di gestione annuale2,00%
  • Investimento iniziale0,00%

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