SABADELL EMERGENTE MIXTO FLEXIBLE, FI BASE

Compact prospectus / KIID: Download compact prospectus / KIID in PDF (Spanish version)

Monthly file: Download monthly file in PDF

Management company: SABADELL ASSET MANAGEMENT, S.A.,S.G.I.I.C.

Category: GLOBAL MODERATE MIXED

VDOS Rating: * * *

Risk Profile: 4 on a scale of 1 to 7

Indicative term of the investment: 6 años.

  • 2021 %
    2,17%
  • % Current quarter
    -1,15%
  • Date
    23/09/2021

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Characteristics

Investment policy

El Fondo invertirá mayoritariamente en activos, títulos, valores y otros instrumentos financieros de renta fija, pública y privada, y de renta variable, sin límite de capitalización, de entidades que mantengan su sede social y/o la mayor parte de sus intereses productivos y/o comerciales en estados considerados países emergentes en cada momento y/o que se negocien en mercados organizados de dichos países, pudiendo formar parte de los índices bursátiles y de renta fija representativos de esas economías, que incluyen estados de Latinoamérica, Asia, Europa del Este y África. En condiciones normales, la exposición a renta variable será del 30%, situándose entre el 10% de mínimo y el 50% de máximo en función de las expectativas de los mercados bursátiles. (*)

(*) Summary of the investment policy of the fund; You can consult the complete information of the same as well as possible scenarios of profitability, risks and other warnings highlighted in the document Fundamental Data for the Investor, by clicking on the following link: Consult DFI.

Mandatory legal information

Compact prospectus / KIID: Download compact prospectus / KIID in PDF (Spanish version)

half-yearly full report: Download half-yearly full report in PDF (Spanish version)

ID data

Name: SABADELL EMERGENTE MIXTO FLEXIBLE, FI BASE

ISIN number: ES0105142030

Currency: EUR

Incorporation date: 20/11/1998

Management company: SABADELL ASSET MANAGEMENT, S.A.,S.G.I.I.C.

Financial group: AMUNDI GROUP

Depositary: BNP PARIBAS SECURITIES SERVICES, SUCURSAL EN ESPAÑA

Auditor: PRICEWATERHOUSECOOPERS AUDITORES, S.L.

Last valuation

Net Asset Value: 13,627323 EUR

Assets under Management: 25,72 (In millions of euros)

Date: 23/09/2021

Fees

Fixed: 1,90%

Variable: 0,00%

Deposit: 0,10%

Subscription: 0,00%

Reimbursement: 0,00%

Other characteristics

Minimum initial investment: 200,00 EUR

Minimum investment to be maintained: 10,00 EUR

Calculations made in EUR currency.