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CPR Invest - Silver Age - A - Acc

classificato 84 su 244 di - Europa su un periodo di 12 mesi
All calculations are in EUR unless stated

Gestito da

Vafa Ahmadi

Vafa Ahmadi joined CPR Asset Management in 2006 first as Head of Direct Investments Global Balanced Team and then in 2009 as Head of European Thematic Equities. He began his career in 1997 at BNP Gestion as a French Equity Portfolio Manager. He moved to Deutsche Asset Management as a European Equity Portfolio Manager (1998-2004), then to Aurel Leven, as Director of Institutional Management. Vafa is a SFAF (French Financial Analysts Society) graduate and member. He holds a post-graduate in Finance from the University of Panthéon-Sorbonne and spent a few months (1995) at Johnson Graduate School of Management Cornell University (NY, USA) as a Researcher.

Eric Labbé

Eric Labbé was born in Paris, France in 1968. Eric attended Panthéon - Assas Paris 2 University and holds a BSc in Economics and Finance. He is currently senior equity portfolio manager at CPR Asset Management where he joined in 2002. Eric started his investment career at Credit Lyonnais as a fixed income trader in 1992. He moved to the position of internal auditor in 1995. After that, he spent one year at Caisse Nationale du Crédit Agricole before he moved to Credit Agricole Asset Management in 1997 where he became portfolio manager. Eric holds the Chartered Financial Analyst designation and the AMF Professional Certification.


The Compartment is a Feeder Compartment of the class T units of CPR Silver Age, a French Mutual Investment Fund authorized by AMF as a UCITS (the Master Fund) and will invest at least 85% of its assets in units of the Master Fund. The Compartment may hold up to 15% of its assets in one or more of the following: Ancillary liquid assets, financial derivative instruments, which may be used only for hedging purposes. The investment policy aims to select the best-performing European stocks in various sectors that may benefit from the aging of the population (pharmaceuticals, medical equipment, and savings, etc.) based on fundamental and quantitative, liquidity, and market capitalization criteria.


Europa su un periodo di : 31/12/2017 - 31/12/2018
  • Classificazione 84/244 Rendimento totale
  • Classificazione 187/244 Deviazione Standard
  • Classificazione 97/244 Perdita Massima

Rendimento totale

Performance trimestrale

a 31/12/2018 Annuale T1 T2 T3 T4
2018 -11,5% -3,3% 4,0% 2,2% -13,8%
2017 10,4% 5,2% 4,1% 0,4% 0,3%
2016 -7,1% -8,7% -1,8% 2,1% 1,5%
2015 14,3% 16,4% -2,7% -6,1% 7,5%
2014 3,6%

Performance mensile

Rendimento vs rischio

Registrato Per La Vendita In

  1. Austria
  2. Belgio
  3. Repubblica Ceca
  4. Finlandia
  5. Francia
  6. Germania
  7. Grecia
  8. Italia
  9. Lussemburgo
  10. Singapore
  11. Spagna
  12. Svezia
  13. Svizzera

Informazioni sul fondo

  • Inizio collocamento29/08/2014
  • Dimensione share class311Mn
  • Valuta di baseUnits
  • ISIN LU1103786700

Informazioni per l'acquisto

  • Investimento aggiuntivo minimo1
  • Investimento aggiuntivo minimo0,0001


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