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NN (L) Global Sustainable Equity P Cap EUR

Clasificado 182 de 338 sobre - Renta variable - Global durante 12 meses
All calculations are in EUR unless stated

Gestionado por

Jeroen Brand

Jeroen Brand was born in the Dutch town of Leiden in 1974. He studied business administration at Erasmus University Rotterdam, specialising in information management. Prior to joining ING, Jeroen worked as a portfolio manager at AEGON. As a senior investment manager within ING, he has transferred from the consumer sector to industrials, and IT and telecoms. His growth and value style spans the various global equity funds which he manages and he utilises currency forwards to hedge foreign exchange risk. Outside of work, Jeroen enjoys running and is a keen volleyball player.

Alex Zuiderwijk

Objetivo

The sub-fund invests primarily in a diversified portfolio of shares and/or transferable securities issued by companies pursuing a sustainable development policy and combining respect for social principles (such as human rights, non-discrimination, the issue of child labour) and environmental principles with a good financial performance. On the basis of the "Best in Class" approach, the companies selected will be those which most closely match the criteria. The sub-fund's benchmark is the MSCI World Index (Net) .

Rentabilidad

Renta variable - Global durante : 31/07/2016 - 31/07/2017

Rentabilidad Total

Rentabilidad trimestral

a 30/06/2017 Anual T1 T2 T3 T4
2017 4,8% -0,1%
2016 5,4% -5,3% 2,3% 3,0% 5,5%
2015 9,2% 15,4% -3,7% -7,9% 6,6%
2014 17,2% 0,8% 4,4% 5,6% 5,6%
2013 16,4% 8,8% -1,0% 2,4% 5,5%
2012 11,4% 9,9% -2,6% 4,1% 0,0%
2011 -2,7% -1,2% -1,1% -10,4% 11,1%
2010 16,6% 7,2% -2,3% 1,7% 9,5%
2009 29,9% -5,1% 12,0% 14,7% 6,5%
2008 -40,2% -14,4% -2,2% -8,2% -22,3%
2007 -0,4% 0,5% 6,2% -2,7% -4,2%
2006 10,0% 4,6% -3,5% 5,6% 3,3%
2005 23,3% 4,0% 6,8% 5,3% 5,4%
2004 4,2% 3,2% 2,3% -2,8% 1,6%
2003 1,1% -10,3% 7,9% 0,0% 4,5%
2002 -33,0% 2,2% -20,0% -20,2% 2,8%
2001 -12,9% -9,1% 9,1% -19,7% 9,3%
2000 -9,5%

Rentabilidad mensual

Rentabilidad ajustada al riesgo

Registrado Para La Venta En

  1. Austria
  2. Bélgica
  3. Chile
  4. República Checa
  5. Dinamarca
  6. Finlandia
  7. Francia
  8. Alemania
  9. Hungría
  10. Luxemburgo
  11. Noruega
  12. Portugal
  13. Singapur
  14. Eslovaquia
  15. España
  16. Suecia
  17. Suiza

Información del fondo

  • Fecha de inauguración10/07/2000
  • Tamaño del fondo54Mn
  • Moneda baseEUR
  • ISIN LU0119216553

Información de compra

  • Inversión mínima inicial0
  • Mínima aportación periódica adicional0

Costos

  • Comisión de gestión anual1,50%

Noticias relevantes

NN Investment Partners apuesta por fondos sostenibles

NN Investment Partners fusionará dos fondos de renta variable europeos y dos fondos de capital globa

NNIP launches euro-denominated green bond fund

Asset management firm to target increased level of corporates entering the ESG-focused market.

El rendimiento es para el periodo mostrado (final de mes hasta final de mes, cotización bid/bid, interés bruto reinvertido, calculado en EUR