AREA RISERVATA

HOME
PAGE

MULTI SICAV LARGO

 


Assogestioni Category Balanced
Year of inception october-01
Currency of denomination Euro
Geographical areas Europa, North America, South America, Asia and Pacific
Bearer ISIN IT0003155550
Benchmark 10% MTS BoT;40% Citigroup WGBI Currency Hedged; 10% MIB-R TR; 40% MSCI AC World net TR.
Goal Growth of invested capital
Holding period Medium-lung term (3/7 years)
Risk level Medium
Initial payment 1,000 €
Management commission 1.65% (per annum)**
Performance commission None

one-year return (30/09/08 - 30/09/09) 6.37%
one-year return of benchmark (30/09/08 - 30/09/09) 4.12%
average annual compound return over five years (30/09/04 - 30/09/09) 1.19%
average annual compound return of benchmark over five years (30/09/04 - 30/09/09) 2.30%

AREA OF INVESTMENT

Approximately 50% of the portfolio is invested in equity funds and the remainder in bond funds.

INVESTOR PROFILE

The type of investment proposed makes the sub-fund suitable to investors with a medium risk tolerance, a medium-to-long holding period, and a preference for investments aimed at favouring the stability of capital and results.

 

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 maximum management fee of the UCITS is 1.60%. Said maximum management fee set by the UCITS is, however, only applicable to a part of the portfolio of the sub-fund of Symphonia Multi Sicav in question. Each sub-fund diversifies its investments and does not invest solely in UCITS with the maximum management fee indicated above.

 

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