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Pictet-Global Thematic Opportunities-I EUR

classificato 22 su 36 di - Temi globali su un periodo di 1 mesi
All calculations are in EUR unless stated

Gestito da

Hans Peter Portner

Hans Peter Portner joined Pictet Asset Management in 1997 and is a Senior Investment Manager in charge of the PF-Water Fund and the PF-Utilities Fund. Hans Peter is a specialist for Utilities in the Sector Specialists team. He is also Head of Sector and Theme Funds Unit. He began his investment career in 1992 with UBS Brinson in Basel as Portfolio Manager for international equities, where he managed single country funds and capital preservation funds. In 1997 he joined Pictet Asset Management in Geneva as Senior Investment Manager for international equities, a role he pursued in London from 1999 to 2001. Hans Peter is a Chartered Financial Analyst (CFA) charterholder and holds a Master’s degree in Economics from the University of Bern.

Gertjan Van Der Geer


The Compartment aims to achieve capital growth by investing mainly in equities and equity related securities (such as ADR, GDR, EDR) issued by companies throughout the world (including emerging countries). The Compartment will invest mainly in securities that may benefit from global long-term market themes resulting from secular changes in economic and social factors such as demographics, lifestyle, regulations or the environment.


Temi globali su un periodo di : 31/12/2018 - 31/01/2019
  • Classificazione 22/36 Rendimento totale
  • Classificazione 1/36 Deviazione Standard
  • Classificazione 1/36 Perdita Massima

Rendimento totale

Performance trimestrale

a 01/01/2019 Annuale T1 T2 T3 T4
2018 -4,7% 0,2% 5,7% 2,5% -12,2%
2017 12,5% 7,2% -1,3% 4,7% 1,7%
2016 3,6%

Performance mensile

Rendimento vs rischio

Registrato Per La Vendita In

  1. Austria
  2. Belgio
  3. Cipro
  4. Finlandia
  5. Francia
  6. Germania
  7. Grecia
  8. Italia
  9. Liechtenstein
  10. Lussemburgo
  11. Paesi Bassi
  12. Norvegia
  13. Portogallo
  14. Singapore
  15. Spagna
  16. Svezia
  17. Svizzera
  18. Regno Unito

Informazioni sul fondo

  • Inizio collocamento20/09/2016
  • Dimensione share class207Mn
  • Valuta di baseUSD
  • ISIN LU1437676478

Informazioni per l'acquisto

  • Investimento aggiuntivo minimo1Mn
  • Investimento aggiuntivo minimo0


  • Commissioni di gestione annuale0,80%

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