1018.80 € au 11/03/2010

Carmignac Market Neutral ISIN : LU0413372060   

The Carmignac Market Neutral fund invests in international equity markets. Its investment objective is capital appreciation through long positions on corporate equities considered to have strong growth potential and short positions on corporate securities deemed to be of inferior quality; its aim is thus to maintain a net market exposure of close to zero. Its recommended minimum investment horizon is two years.
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Carmignac Market Neutral is an international (non-directional) equity fund geared towards net near-zero exposure. Its management is based on a fundamental analysis of companies and it seeks absolute performance in all market conditions. The fund’s objective is to generate returns with low correlation to – and less volatility than – equity markets. The fund is managed based on an opportunistic strategy and is hedged using derivatives.

Outstanding , 101 491 000 EUR