Seeyond Equity Volatility Strategies

Fund highlights


The Fund invests in multiple asset classes, including equities, fixed income and currencies. Equity investments may experience large price fluctuations. Fixed income investments are typically sensitive to changes in interest rates, and the Fund could lose value when interest rates rise. The Fund is subject to specific risks, including loss of capital risk, equity securities risk, volatility risk, model risk, exchange rates risk and counterparty risk.

An investor’s capital will be at risk; you may get back less than you invested. Please refer to the full Prospectus for additional details on risks.

Fund basics

ISIN LU0935233345
Bloomberg Ticker N/A
Reference index N/A
Morningstar Category Alt - Volatility
IMA Sector N/A
Asset class Alternatives
Region Global
Fund inception date 05/11/2013
Share class inception date 13/02/2013

Daily stats

as of (19/02/2019)
NAV USD 78.17

Portfolio managersRead more

Simon Aninat
Managed the fund since 2013

Yufeng Xie
Managed the fund since 2013