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Amundi Funds - Absolute Volatility Euro Equities

GNA2:GR
Berlin
125.90
EUR
0.09
0.07%
As of 2:20 AM EDT 7/27/2016
Open
127.00
Day Range
125.90 - 127.00
Previous Close
125.81
52Wk Range
117.05 - 129.00
1 Yr Return
6.68%
YTD Return
2.81%
Open
127.00
Day Range
125.90 - 127.00
Volume
0
Previous Close
125.81
52Wk Range
117.05 - 129.00
1 Yr Return
6.46%
YTD Return
2.81%
NAV (on 07/25/2016)
126.75
Total Assets (b EUR) (on 07/25/2016)
2.441
Inception Date
09/20/2007
Premium/Discount
-0.56%
Average 52-Week Premium
-0.73%
Fund Managers
GILBERT KESKIN / ERIC HERMITTE
Last Dividend (on -)
-
Dividend Indicated Gross Yield
-
Expense Ratio
1.35%
3 Mo Return
2.11%
3 Yr Return
-0.64%
5 Yr Return
-1.14%

Top Fund Holdings

Name Position Value % of Fund
18.82 k 85.17 m 9.43
332.66 78.17 m 8.65
19.93 k 69.89 m 7.74
11.28 k 48.58 m 5.38
21.88 k 48.28 m 5.34
24.37 k 42.79 m 4.74
6.94 k 42.19 m 4.67
16.09 k 39.19 m 4.34
5.24 k 37.04 m 4.10
10.10 k 34.48 m 3.82
Profile
Amundi Funds - Absolute Volatility Euro Equities is a SICAV incorporated in Luxembourg. The Fund aims to achieve an annual absolute performance of 7% before fees, over a minimum investment horizon of 3 years. The Fund invests its assets in options and derivatives on the DJ EuroStoxx50, in order to be exposed long or short to the 1-year implied volatility.
Address
Amundi
5, Allee Scheffer
L-2520 Luxembourg
Luxembourg
Phone
352-47-67-6667 Tel