General information Share class dividend policy | Accumulation | End of the financial year | 31/12/2024 | Accounting currency | EUR | Legal structure | Investment company with variable capital | Legal status | - | Fund creation date | 06/03/2014 | Fund launch date | 06/03/2014 | Fund end date | - | Sub-fund creation date | 08/04/2019 | Sub-fund launch date | 15/10/2019 | Sub-fund end date | - | Share class/unit creation date | 01/10/2019 | Share class/unit launch date | 15/10/2019 | Share class end date | - | Promoter(s) | Crèdit Andorrà Asset Management Lux (LU) |
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| | Classification | | | |
| Countries of distribution Country of jurisdiction | LU | Countries of distribution | - |
| | Expenses Subscription fee | 0 | - | Redemption fee | 0 | - | Management fee | 2% | - | Subscription fee for the fund | 0 | - | Redemption fee for the fund | 0 | - | Performance fee | 20% | - | Dilution levy | - | - | Switch fee percent | - | - | Switch fee percent for the fund | - | - |
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| | Promoter(s) | - | Central administration | - | Asset manager (UCI) | - | Investment advisor (UCI) | - | Asset manager sub-fund level | - | Investment advisor sub-fund level | - | Management company | - | Domiciliary agent | - | Paying agent(s) | - | Transfer agent | - | Sub-Transfer Agent | - | Custodian | - | Distributor(s) (UCI) | - | Distributor(s) (sub-fund) | - | Auditor | - | Legal advisor | - | Dates of shareholders meetings | - |
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