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Hugau Rendement C

philosophy
European equity fund with an alpha coming from the selection of companies producing recurring free cash-flow, and assuring long-term reliable dividends. The companies activity, the free cash-flows organic growth, the distribution of the capital and it’s nature are privileged criteria.
Evolution of the Net Asset Value
Source: Hugau Gestion Hugau Rendement C MSCI Europe (Div Réinv, en Euros)
Overview
Fund Indicator
Aggregate
performances
1 Mois-5,03-2,60
3 Mois-8,32-5,32
6 Mois-10,02-4,06
1 an-11,13-4,90
3 ans-4,834,96
5 ans10,0428,57
Annualised
performances
3 ans-1,641,63
5 ans1,935,15
Aggregate
performances
Annualised
performances
1 Month3 Month6 Month1Y3Y5Y3Y5Y
Fund-5,03-8,32-10,02-11,13-4,8310,04-1,641,93
Indicator-2,60-5,32-4,06-4,904,9628,571,635,15
Source: Hugau Gestion Hugau Rendement C MSCI Europe (Div Réinv, en Euros)

* Past performance is not a reliable indicator of future performance.
This promotional document is a simplified presentation and does not constitute a subscription offer or an investment recommendation. All subscribers must refer to the Key Investor Information Document (KIID) and prospectus both available on our website www.hugau-gestion.com or on demand free of charge.

Risk Level
  • Low
  • 1
  • 2
  • 3
  • 4
  • 5
  • 6
  • 7
  • High

TOUS NOS FONDS

L’indicateur synthétique de risque et de rendement (SRRI) est calculé conformément aux dispositions réglementaires applicables aux OPCVM conformes aux normes européennes « UCITS IV ». L’indicateur synthétique de risque et de rendement est basé sur la volatilité des performances passées hebdomadaires de l’OPCVM. Il donne une indication de la volatilité des performances passées ainsi qu’une information générale quant au profil de risque de l’OPCVM.

SRRI < 0.5%
  • Faible
  • 1
  • 2
  • 3
  • 4
  • 5
  • 6
  • 7
  • élevé
SRRI < 0.50%
  • Faible
  • 1
  • 2
  • 3
  • 4
  • 5
  • 6
  • 7
  • élevé
SRRI < 0.9%
  • Faible
  • 1
  • 2
  • 3
  • 4
  • 5
  • 6
  • 7
  • élevé
SRRI < 0.5%
  • Faible
  • 1
  • 2
  • 3
  • 4
  • 5
  • 6
  • 7
  • élevé
SRRI < 0.7%
  • Faible
  • 1
  • 2
  • 3
  • 4
  • 5
  • 6
  • 7
  • élevé
SRRI < 0.15%
  • Faible
  • 1
  • 2
  • 3
  • 4
  • 5
  • 6
  • 7
  • élevé
SRRI < 0.45%
  • Faible
  • 1
  • 2
  • 3
  • 4
  • 5
  • 6
  • 7
  • élevé
Equity Mutual Fund
NAV : 95,28€ At09/11/2018
Asset : 4,37 M€
  • D-10,39%
  • YTD-7,27%
  • 1_An-11,13%
  • ,,
  • ,,
  • ,,
European stocks should take advantage of the QE, if maintained by the ECB, and the higher yield of stocks compared to bonds.
Downloads documents
REPORTING ENG
Characteristics
  • Code Isin Part C
    FR0010401075
  • Code Isin Part D
    FR0010410977
  • Date de création
    22/12/2006
  • Valeur nominale
    100€
  • Classification AMF
    Actions des pays de la communauté européenne - Eligible au PEA
  • Durée de placement recommandée
    > 5 ans
  • Indice de référence
    MSCI Europe converti en € (dividendes réinvestis)
  • Valorisation
    Hebdomadaire
  • Souscription - Rachat
    Chaque Vendredi avant 10h30 sur la prochaine VL calculée après cette heure de centralisation. Règlement j+2
  • Commission de souscription
    3 % max
  • Commission de rachat
    Néant
  • Frais de gestion prélevés TTC
    1,73%
  • Risque Action
    Min 75%
FR | EN
This website presents our different Funds which are authorized in France and eventually in other countries. Before continuing your visit on our website, please notice the terms and conditions. The acceptance of these conditions is necessary to continue your visit on our website. If you do not accept the terms and conditions, you should immediately discontinue any use of this website. Hugau Gestion cannot be held liable under any circumstance for any damages whatsoever resulting from the use and consultation of this site.
 
You are currently connected to Hugau Gestion web site: www.hugau-gestion.com
French SAS company with a capital of: 1 226 250€
Registered office: 60, rue Saint-Lazare 75009 PARIS
Hugau Gestion is a French Portfolio Management Company approved by the French Financial Authority (AMF) on the 27th of June 2006 under n° GP 06 000008
 
Website design and hosting :
 
Design : Ifa Partner’s
Hosting : Creatyx
 
Informations
In spite of all the attention of our services on the content of this website, Hugau Gestion can not be held responsible for the presence of an eventual error concerning the financial information. Hugau Gestion informs you that the presentation and the content of the website can be modified at every moment.
 
Recommendations
The information presented on this website does not constitute an offer of products or services that can be assimilated to a public call or an activity of prospecting or soliciting for the purchase of sale.
The information available on this website is purely informatory.
 For further information please contact us: contact@hugau-gestion.com
 
 Performances
Past performances are not indicative of future performances which can vary over time and in no way constitute a guarantee of future performance or capital.
 
 Intellectual property
The entire website is the property of Hugau Gestion.
Any reproduction, diffusion made without the authorization of Hugau Gestion is forbidden

 

 

 

You must select the below checkbox
I am a Professional Investor in France and I fully acknowledge and accept this disclaimer as well as the Terms and Conditions and Privacy Policy.
This website presents our different Funds which are authorized in France and eventually in other countries. Before continuing your visit on our website, please notice the terms and conditions. The acceptance of these conditions is necessary to continue your visit on our website. If you do not accept the terms and conditions, you should immediately discontinue any use of this website. Hugau Gestion cannot be held liable under any circumstance for any damages whatsoever resulting from the use and consultation of this site.
 
You are currently connected to Hugau Gestion web site: www.hugau-gestion.com
French SAS company with a capital of: 1 226 250€
Registered office: 60, rue Saint-Lazare 75009 PARIS
Hugau Gestion is a French Portfolio Management Company approved by the French Financial Authority (AMF) on the 27th of June 2006 under n° GP 06 000008
 
Website design and hosting :
 Design : Ifa Partner’s
Hosting : Creatyx
 
Informations
In spite of all the attention of our services on the content of this website, Hugau Gestion can not be held responsible for the presence of an eventual error concerning the financial information. Hugau Gestion informs you that the presentation and the content of the website can be modified at every moment.
 
Recommendations
The information presented on this website does not constitute an offer of products or services that can be assimilated to a public call or an activity of prospecting or soliciting for the purchase of sale.
The information available on this website is purely informatory.
 For further information please contact us: contact@hugau-gestion.com
 
Performances
Past performances are not indicative of future performances which can vary over time and in no way constitute a guarantee of future performance or capital.
 
 Intellectual property
The entire website is the property of Hugau Gestion.
Any reproduction, diffusion made without the authorization of Hugau Gestion is forbidden
 
 
 
You must select the below checkbox
I am a Retail Investor in France and I fully acknowledge and accept this disclaimer and the Terms and Conditions and Privacy Policy.
I refuse