176.65 € au 02/09/2010

Carmignac Profil Réactif 75 ISIN : FR0010148999   

Expertise and reactivity: the Carmignac range of 0 to 75% equities.


The responsive management of Carmignac Profil Réactif 75 is based on the expertise of Carmignac Gestion in investing in other funds from the range. It can vary its exposure to equity markets from 0 to 75% according to the manager’s market forecasts. Its recommended minimum investment horizon is 5 years.
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Carmignac Profil Réactif 75 is a diversified fund of funds which seeks to maximise portfolio returns using an active asset allocation policy. The distribution of the portfolio between the different asset classes and UCITS categories (equity, diversified, bond, money market, etc.) varies according to the view taken by the fund manager. Carmignac Profil Réactif 100 may invest 0 to 75% of its assets in equity UCITS.

Outstanding , 277 619 000 EUR
* 75% MSCI ACW (Eur) + 25% Citigroup WGBI all maturities (Eur). Rebalanced at 1 January each year.

The French-domiciled funds (FCP) are jointly audited by KPMG Audit and Cabinet Vizzavona. The Luxembourg-domiciled SICAV Carmignac Portfolio is audited by KPMG. Past performance is not a guarantee of future returns and may fluctuate over time.