Rouvier Valeurs

  • 1 y
  • 3 y
  • 5 y
  •  Rouvier Valeurs   World Index (MSCI World Net Euro)
Rouvier Valeurs

2012-02-21
€77.36

s&p long term 5
Second Prize

Fund performance

Since 12/31/1992 +445.71 %
YTD +15.27 %
Over 1 year -12.45%
Over 3 years +58.72 %
Over 5 years -3.89%
Number of shares 7,677,646
Net asset value K€ 594,001

Past performance is not a guide to future performance.

Technical information

AMF classification : Diversified
ISIN code : FR0000401374
Management fees : 1.8% (not liable to VAT)
Subscription fees : nil
Redemption fees : nil
Custodian : CM-CIC Securities
  Daily valuation

Documents

Monthly sheet Download
KIID (key investor information document) Download
Full prospectus Download

The regulatory and information documents for Belgium, Germany and Luxembourg can be found on the pages entitled "informations réglementaires" on the French version web site.