Carmignac Emerging Patrimoine

ISIN: LU0592698954
Bloomberg: NAV: 120.06 EUR +0.820%
Termsheet: Carmignac Gestion
Management Fee: 1.50%
Expense Ratio: 1.80%
Currency: EUR
Asset Class: Fixed Income
Investment region: World
52-Week Range: 97.56 - 120.41
YTD 1M 3M 1Y 3Y* 5Y*
N/A -0.78% 0.16% N/A 1.91% N/A
* annualised performance
Dr. Costa's Rating:

New mixed funds with a maximum of 50% allocated to stocks exclusively in emerging markets and a remaining 50% or more invested in bonds.