2020 | 1 month | 3 months | 1 year | 3 years | 5 years | |
---|---|---|---|---|---|---|
Mansartis europe C | 0.3% | 0.3% | 5.51% | 21.89% | 32.61% | 26.53% |
Mansartis europe I | 0.37% | 0.37% | 5.73% | 22.94% | 36.03% | 31.97% |
EURO STOXX 50 NR | -2.66% | -2.66% | 1.26% | 18.28% | 21.93% | 23.96% |
MANSARTIS EUROPE C | 248.5€ |
---|---|
MANSARTIS EUROPE D | 1316.12€ |
MANSARTIS EUROPE I | 1316.12€ |
Among the many opportunities offered by listed European companies (diversity of skills, sectors, geographies, cultures) we favor high-quality domestic and international companies which possess enduring competitive advantages and are managed with a disciplined approach to the allocation of capital in view of creating long-term value. We invest on the basis of a company’s fundamentals and we know how to be patient in order to profit from unusual or unexpected market movements: such as when, owing to cyclical, specific or trend-related reasons, a company is markedly undervalued in comparison to our estimation of its intrinsic valuation.
We manage the fund based on our convictions, without regard to stock indexes, guided by our investment approach, which aims to optimize return vs risk over the long term. Equities are selected for the fund after painstaking financial analysis; we give special weight to field data gathered via some 350 interviews conducted annually with companies and their executives.
Teleperformance | 6.52 % |
---|---|
Dassault Systèmes | 5.62 % |
Orpea | 5.21 % |
Air Liquide | 5.19 % |
Relx | 4.87 % |
Schneider Electric | 4.81 % |
---|---|
Alstom | 4.41 % |
Legrand | 4.33 % |
DSM | 4.26 % |
L'Oréal | 4.23 % |
FRANCE | 65.37 % |
---|---|
GERMANY | 10.43 % |
SWITZERLAND | 7.64 % |
UNITED KINGDOM | 4.88 % |
Others | 11.68 % |
industry | 37.08 % |
---|---|
c.discretionary | 15.74 % |
technology | 15.09 % |
healthcare | 14.74 % |
Others | 17.34 % |
Large capitalisations : 77.5 % | > 10 Billions |
---|---|
Mid capitalisations : 20.16 % | 1 et 10 Billions |
Small capitalisations : 2.33 % | < 1 Billion |
This page is strictly for informational purposes and should not be considered a bid or offer, nor should it be interpreted as investment advice. Past performances presented herein are based on figures from past years, and cannot be considered as predictive of future performance, nor constitute a guarantee for current or future performance.
*Synthetic Risk and Reward Indicator, on a scale of 1 - 7 in ascending order, from the lowest to the highest risk. To lower risk typically lower rewards, to higher risk, typically higher rewards.
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