SICAV

ARMONY AGECA

year to date
7.54
%
net asset value
122.92
AUM
31.939.112
risk scale
4
/
7

General Information

legal form
SICAV UCITS (LUX)
country
Luxembourg
ISIN
LU1388853720
currency
EUR

Investment policy

The SICAV's goal is to generate capital growth in the long term through investment of up to 75% in international equity securities traded in organized markets. The equity exposure depends on the market outlook and the rest is invested in fixed income and money market assets. Armony AGECA fund may invest indirectly through other UCITs.

Comment

09/2021

With nearly 60% of companies having reported earnings during the month and 85% beating earnings expectations, stocks once again hit record highs during the month of July despite a resurgence of COVID-19 cases. Inflation also continued to climb, but it haven’t caused the central banks to change course just yet: moving closer to tapering. Unlike previous quarters, Healthcare led all sectors to start 3Q21, while Financials and Energy closed the month down. It should be noted, though, that Energy stocks remain the market leaders on a YTD basis. as for the fixed income side, Treasury yields slumped to lows last seen in February. Such a sharp decline in yields would normally imply a downgrade to the growth outlook. However, we see the current level of yields as inconsistent given the strength of the recovery, at least in US. For the Euro area seems that interest rates will remain negative for a very long time, and fiscal policy instead of monetary policy should be put in place to break out of the low growth and infation environment.
prices updated on
Sep 23, 2021 19:00

Summary Sheet

Investment platformS
Fundsettle
Management style
Investment in traditional assets (up to 75% in equity)
Investment horizon
4 years
Minimum investment
1 share
LiquiditY
Weekly
managed by
Kredietrust Luxemburg S.A.
custodian
Quintet Private Bank (Europe) S.A.
advisor
Fimarge SFI S.A.
auditor
Deloitte Audit Sàrl
dividends
No
benchmark
25% STOXX 600 + 25% S&P 500 + 25% RF EUR + 25% RF USA (€)
Date of first NAV
March 30, 2016
NAV frequency
Weekly, every Monday if business day in Luxembourg
Capital guarantee
No

Fees

Management
0.99%
Performance
0%
RisK
0%
Subscription
0%
Redemption
0%
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Fimarge Societat Financera d’Inversió SA
C/ Bonaventura Armengol, 10
Ed. Montclar Bloc 1, 5è 1a
Andorra la Vella
Nº Registre Societat: 5711
Nº Registre Tributari: A-700866-T
Nº Autorització AFA: SFI-04/95 (20/04/1988)