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Hugau Gestion Funds
Our Funds
- Hugau MONETERME is a Money Market Mutual Fund (VNAV) invested in Money Market products (structured products excluded).
- Its main target is to outperform the €STR index over a 12 month period with a global portfolio duration of less than or equal to 0.50. To improve his annual performance, the mutual fund may invest on the French & European bond markets.
- Recommended investment period: 7 days.
- Hugau OBLI 1-3 is a mutual fund invested in Euro corporate Bonds and Money Market products (structured products excluded).
- Its main target is to outperform the benchmark over a 12 month period with a global portfolio duration of less than or equal to 3.
- Recommended investment period: 18 months.
- Hugau OBLI 3-5 is a mutual fund invested in Euro corporate Bonds denominated in Euro (structured products excluded).
- Its main target is to outperform the benchmark over a 2 year period with a global portfolio duration from -1 to 5.
- Recommended investment period: 3 years.
- Hugau Patrimoine is a diversified mutual fund. His portfolio is invested according to the asset allocation of Hugau Gestion.
- Its main target is to obtain a regular performance with a low risk.
- Recommended investment period: 3 to 5 years.
- Hugau Rendement Responsable is an European equity market mutual fund.
- Its main target is to outperform the Stoxx Europe ESG 50 by delivering a consistent performance coming from large size companies paying dividends on a regular basis.
- Recommended investment period: 3 to 5 years.
- International Equities Fund.
- Its management's goal is to outperform the MSCI World converted in €.
- Recommended investment period: 5 years.
- Hugau 12M is a dedicated funds invested in close to maturity bonds.
- Its management goal, on a period going from the beginning of the april to the end of march the next year, is to outperform the annual return of the OAT which maturity is on the 25th of april of each year from 2013.
60, rue Saint-Lazare
75009 Paris
Phone: +33 1 78 09 83 20