Mutual fund under Italian law harmonized to Directive 2009/65/EC.
Agora Kuros
Luxury & Lifestyle Q
The Fund's investment policy is directed toward instruments representing the risk capital of listed companies belonging to the luxury, lifestyle and fashion industry. The SGR operates stock selection within the universe of companies of any size, and the Fund's assets can be invested in equities even with low capitalization (less than US$1 billion). The overall equity exposure will be flexible, may be up to 100% of the Fund's assets. Subject to the prohibitions and limits specified for open-ended Italian Undertakings for Collective Investment in Transferable Securities (Italian UCITS), individual investments will be significant and the portfolio will be concentrated.
General
Fund establishment date
27 July 2023
ISIN bearer class
IT0005560575
Management type
Total Return Fund
Denomination currency
Euro
Category
Fondo Flessibile
Benchmark
In relation to the Fund's management style (flexible style), it is not possible to identify a benchmark representative of the management policy adopted. Instead of the benchmark, a measure of volatility of the Fund consistent with the risk measure expressed is indicated.
Risk measure
Value at Risk (VaR), time horizon 1 month, confidence interval 99%: -13.5%
Risk rating
4 out of 7
Allocation of proceeds
The Fund is income accumulation
Annual management fee
1%
Annual incentive fee
10% (High Water Mark)
Duration
The duration of the bond component is between 1 and 5 years.
Rating
The Fund may invest in bonds of corporate and / or sovereign issuers with any credit rating. The Fund may invest residually in unrated bonds.
Emerging countries
The Fund may invest to a limited extent in financial instruments of issuers from emerging countries.
Warning
The Fund may invest to a limited extent in financial instruments of issuers from emerging countries.