Seeyond Global MinVol

Fund highlights


The specific risks of investing in the Sub-Fund are linked to:

The global risk exposure of the Sub-Fund is managed through the use of the “Commitment Approach” method described under “Use of Derivatives, Special Investment and Hedging Techniques” – “Global Risk Exposure”. For a complete description of these risks, please refer to the chapter entitled “Principal Risks” below. This same chapter also describes the other risks linked to an investment into the Sub-Fund.

Fund basics

ISIN LU0935230838
Bloomberg Ticker N/A
Reference index MSCI AC WORLD INDEX DNR €
Morningstar Category Europe Large-Cap Blend Equity
IMA Sector N/A
Asset class Equity
Region Global
Fund inception date 19/12/2013
Share class inception date 19/12/2013

Daily stats

as of (19/02/2019)
NAV USD 17,925.30

Portfolio managersRead more

Nicolas Just, CFA®
Managed the fund since 2010

Juan-Sebastian Caicedo, CFA®
Managed the fund since 2010