ORIENTATION AND OBJECTIVES

Sextant Bond Picking is a  fund which invests primarily in international bonds, being able to intervene in all the credit rating categories or in the subsegments of the bond markets, not having as a goal replicate any index. Secondarily, the fund may invest in equities, in particular in stocks in the middle of a market arbitrage operation strategy.

COORDINATING MANAGER

Jacques Sudre, David Poulet

ISIN CODE
FR0013202132
DATE CREATED
30/03/2017
RECOMMENDED INVESTMENT PERIOD
>3 years
LISTING FREQUENCY AND CURRENCY
Daily/Euro
Annualised performance
1 year 1,58% 5 years -
3 years - Date Creation 1,67%
FINANCIAL CHARACTERISTICS
TAX PROVISIONS
The tax treatment depends on the individual situation of each investor, and may be subject to change.
REFERENCE INDEX
Euro Constant Maturity Treasury (CMT) cash 3Y
CLASSIFICATION
Bonds and other international debt securities
CUSTODIAN AND VALUER
CACEIS
RISKS

Sextant Bond picking is a fund of obligations which may suffer heavy fluctuacions downwards. The recommended duration of the investment is at least three years.

Low
1
2
3
4
5
6
7
High
History
Perf. YTD 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004 Cumulative
1,30 %
- - - - - - - - - - - - ? - - 2,48 %

Warning: past performance is not indicative of future performance
Legal Notice - Regulatory information - Policy for selecting intermediaries
© Amiral Gestion, a French simplified joint stock company (société par actions simplifiée) with 629,983 Euros of share capital - Asset management company authorised by the French Financial Markets Authority under number GP-04000038
Insurance brokerage company registered in the French Register of Insurance Intermediaries (ORIAS) under number 12065490.