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SICAV ITALIA FLESSIBILE

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Assogestioni Category Flexible
Year of inception October-04
Currency of denomination Euro
Geographical areas Italy, Europe
Bearer ISIN IT0003664254
Benchmark

Alternative risk indicator: Value at risk (VaR), holding period of one month, 99% confidence interval, Value -4%

Goal

Pursuit of return targets without preconceived restrictions concerning the financial instruments (equities/bonds) in which to invest

Holding period Medim-term (3/5 years)
Risk level Medium-High
Initial payment 1,000 €
Management commission 1.50% (per annum)*
Performance commission

20% of the increase in value with respect to the performance of the MTS BOT Index + 200 basis points (only if positive)

Fee Cap 5%

one-year return (31/12/07 - 31/12/08) -25.15%
one-year return of benchmark (31/12/07 - 31/12/08) ---
average annual compound return (31/12/04 - 31/12/08) -3.52%
average annual compound return of benchmark (31/12/04 - 31/12/08) ---

AREA OF INVESTMENT

Primarily equities issued by Italian companies. Investment in securities not denominated in euro is excluded.

INVESTOR PROFILE

Stock and bond market volatility may lead to temporary decreases in the value of investment. As a consequence, the type of investments employed by the sub-fund makes it suitable for investors with a very high risk tolerance and a medium-term holding period.

MANAGEMENT STYLE

The portfolio is managed actively and dynamically. The investment philosophy focuses on an analysis of fundamentals at both the macroeconomic and industry and company levels, as well as long- and short-term market trends. As a result, the portfolio's composition may change frequently both in terms of industry allocation and the weight of the equity and bond components. Decisions are consequently taken after conducting research not only into income prospects, valuation levels, cash flow analysis, and risk control, but also short-term market expectations. Technical analysis is employed on a complementary basis.

 

Returns are expressed net of tax expenses, excluding commissions.
Past returns are not indicative of future performance. Benchmark figures are prepared by considering the reinvestment of coupons and/or dividends.

(*)The management fee is calculated daily on the basis of the net asset value of each sub-fund of the SICAV and/or Fund and is deducted from the latter with a value date of the last day of stock exchange trading in each quarter.

 

This is a translation provided only for your convenience. Only the Italian text has legal value.

Symphonia SGR Spa - Corso G. Matteotti, 5 - 20121 Milano
Telefono +39 02 777071 - Fax +39 02 77707350
Email:infosgr@symphonia.it - P.IVA: 11317340153