Covéa Actions Euro I Equities and Mixed
Net asset value
Year to date
The Fund is classified as "Equities from countries in the euro zone." It aims to achieve a performance superior to the benchmark (DJ Euro STOXX, calculated with dividends reinvested), being exposed to the equity markets in the euro area.
* At lower risk, potentially lower return. At higher risk, potentially higher return.
Risk and reward profile*:
Recommended investment term: 5 years