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Fund Details

Carmignac Investissement A EUR acc

ISIN
FR0010148981
Provider
Carmignac Gestion SA
Close Price
€3,061.33 *
Lipper Rating
54321
ESG Score
Characteristics
Sustainable

* Data as of 14 August 2026

Performance

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Totalp.a.
YTD+19.60%
1 Year+31.15%+31.15%
3 Years+85.31%+22.81%
5 Years+64.34%+10.43%
10 Years+166.05%+10.27%

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 ClassEquity
Holdings ClassificationEquity Global Large-Cap Growth
Geographical FocusGlobal
Fund Size€4,858,539,734
Total Expense Ratio1.80%
CurrencyEUR
DomicileFR
ManagementstyleActive
SFDR ArticleArticle 8

Available in

Liechtenstein Life WealthVWL-Förderkonzept für Bundeswehrangehörigebest value rentvalue invest VWLvalue rent business UK

Country Exposure

United States
57.0%
Taiwan
15.9%
Korea
3.6%
France
3.3%
Netherlands
3.3%
Other
16.9%

Description

The fund’s objective is to outperform its reference indicator over a recommended investment horizon of five years. The reference indicator is the MSCI AC World NR Index. At least 60% of the Fund's net assets are permanently exposed to international equities (all capitalisations, without restrictions...

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