AMUNDI S.F. - ABSOLUTE RETURN MULTI-STRATEGY CONTROL

ISIN: LU1410363276 - Absolute Return
As of 20/03/2019
NAV Fund AUM
48.25 EUR 158.74M EUR

Seeking enhanced returns above cash with low volatility

The fund invests across a broad and diverse investment universe in seeking to achieve positive returns in all market conditions with low volatility. Four investment categories guide us in generating returns. In addition to this we have a strong focus on 

*The Target Return and Expected Average Volatility can be exceeded or undershot and should not be construed as an assurance or guarantee.
**The reference rate is Euro Overnight Index Average (EONIA). The target of EONIA is annualised, gross of fees. For complete information on the Fund’s investment objectives, strategy, risks and limitations please review the Fund prospectus


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Past performance is not indicative of future returns.