FUNDS - Mandarine Active
Last update on: 28/10/2021

Fundname
Mandarine Active

Investment Trusts
Mandarine Gestion
Asset Manager
Mandarine Gestion

Fund data (Equity Fund)

   
Fund size

(as of 30/09/2021)

333.41 mil. EUR
Share class size

(as of 30/09/2021)

37.32 mil. EUR
ISIN FR0011351626
Fund price (as of 28/10/2021)
Offer n.s.
Bid 1,095.87 Euro

Growth (as of 28/10/2021) *

   
10 Years n.s.
5 Years 67.11 %
3 Years 62.28 %
1 Year 38.09 %
Current year 24.02 %
Benchmark n.s.

* in Euro (€)

Master data of Funds
ISINFR0011351626
Launch date 04/09/2019
Available in n.s.
Fund type Equity Fund
Kind of fund Sustainability and ethical funds / Sustainability-/ Ethical fund
Aim of investment n.s.
Investment strategy n.s.
Investment process n.s.
Positive criteria n.s.
Negative criteria for stocks and corporate bonds n.s.
Negative criteria for government bonds n.s.
Research done by n.s.