Covéa Actions Europe Opportunités I
Description
Key facts
Summary Risk Indicator :
- Niveau 1
- Niveau 2
- Niveau 3
- Niveau 4
- Niveau 5
- Niveau 6
- Niveau 7
Recommended investment term:
5 years
Investment zone:
Espace Economique Européen
Currency:
EURO
Management approach
The management objective is to make capital gains from investments through exposure to European Union equities, especially the MSCI Pan-Euro Index (net dividends reinvested).
Main risks associated with the fund
Main risks associated with the fund: Equity risk, Risk linked to discretionary management, Risk of capital loss, Interest rate risk, Foreign exchange risk. The risks mentioned are not exhaustive. For more information, we invite you to refer to the fund's DIC and prospectus.
* Lower risk, potentially lower return. Higher risk, potentially higher return
Documentation
Regulatory documentation
Sustainability publications
Net asset value
Net asset value au 09/01/2025 : 271.40€