Carmignac Patrimoine A EUR acc

ISINFR0010135103
ProviderCarmignac Gestion SA
Close Price€812.55 *
Lipper Rating54321
ESG Score
Characteristics
Sustainable

* Data as of 23 April 2026

Performance

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Totalp.a.
YTD+2.95%
1 Year+12.72%+12.72%
3 Years+26.57%+8.12%
5 Years+10.59%+2.03%
10 Years+31.61%+2.75%

Past performance is not a reliable indicator of future results. The value of an investment and the income from it can fall as well as rise.

Key Facts

Asset ClassMixed Assets
Holdings ClassificationMixed Assets Global Large-Cap Growth
Geographical FocusGlobal
Fund Size€6,369,525,043
Total Expense Ratio1.50%
CurrencyEUR
DomicileFR
ManagementstyleActive
SFDR ArticleArticle 8

Available in

Prosperity DuoProsperity Junior

Country Exposure

United States
24.3%
Italy
14.4%
France
8.0%
Taiwan
4.9%
Ireland
4.5%
Other
43.9%

Description

The Fund aims to outperform its reference indicator over a period exceeding three years. The composite reference indicator is comprised as follows: 50% MSCI AC WORLD NR (USD) index, and 50% Citigroup WGBI All Maturities index calculated with coupons reinvested. The reference indicator is rebalanced ...