Kathrein European Equity

RT : AT0000779756 | RA : AT0000779749
Fond type equity funds
Currency EUR
Status 19.12.2024
Yearly YTD +12.35 %
value development Prev. Year +14.84 %
5 Years p.a. +6.22 %
Risk rating high

Short portrait

This equity fund invests in the largest companies of Western Europe and aims at a balanced weighting among countries and industries. The securities are selected on the basis of quantitative models. On the basis of relevant key figures, such as P/E ratio, price/book value and price/profit growth, the least expensive shares are identified out of a total of 500. The second step analyses the momentum, i.e. the relative price increase, on the basis of the "Ned Davis Research Price Momentum". The third selection criteria is the profit forecast by the world's best analysts pursuant to the customized "StarMineIndicator".

Characteristics

ISIN
RT: AT0000779756
RA: AT0000779749
Price
RT: 203.89 | RA: 54.48
Management fees (p.a.)
1.64 %
Transaction costs (p.a.)
0.35 %

Metrics

Sharpe Ratio 0.11
Maximum Temporary Loss -37.95 %
Volatility (p.a.) 15.99 %

Performance

(RT: AT0000779756)
reinvesting

+3.19 %

Annual performance p.a. since the beginning

since option: 12.07.1999 bis 19.12.2024

+6.22 %

5 Annual performance p.a.

5 Years: 23.12.2019 bis 19.12.2024

+3.16 %

3 Annual performance p.a.

3 Years: 22.12.2021 bis 19.12.2024

+12.35 %

Annual performance

YTD: 29.12.2023 bis 19.12.2024

Asset Allocation

(RT: AT0000779756)

Top Ten Holdings

98.28 %

  • 3i Group PLC_Registered Shares LS -,7386364.58 %
  • Heidelberg Materials AG_Inhaber-Aktien o.N.4.19 %
  • Unilever PLC_Registered Shares LS -,0311113.81 %
  • MUENCHENER RUECKVERS.-GES. AG_VINK.NAMENS-AKTIEN O.N.3.46 %
  • ASML Holding N.V._Aandelen op naam EO -,093.39 %
  • ABB LTD._Namens-Aktien SF 0,123.34 %
  • ASSOCIATED BRITISH FOODS PLC_Registered Shares LS -,05682.65 %
  • PUBLICIS GROUPE S.A._Actions Port. EO 0,402.63 %
  • NOVARTIS AG_Namens-Aktien SF 0,492.62 %
  • Novo-Nordisk AS_Navne-Aktier B DK 0,12.58 %

1.72 %

Factsheets

(RT: AT0000779756)

Factsheets

(RA: AT0000779749)

Legal Notice

This information is an advertising communication and not an offer or a recommendation to buy or sell a financial instrument.
The fund regulations of the fund have been approved by the Financial Market Authority.

When investing in investment funds, price fluctuations are possible at any time due to market changes.

Previous performance results do not allow any reliable conclusions to be drawn about the future development and income of the fund.
The performance is calculated according to the OeKB method and is given as a percentage, taking into account the reinvestment of the distribution. Costs such as management fees or other costs charged to the fund assets have already been taken into account in the performance, but not the customer-specific front-end load or custody account fees. Depending on the specific amount, these have a correspondingly reducing effect on the performance.
If an issue surcharge of e.g. 3% is charged, this reduces the performance in the year of purchase by EUR 3,000 for every EUR 10,000 invested. A custodian fee of 0.25% reduces the income annually by EUR 25 for every EUR 10,000 in the fund.

For investors whose home currency differs from the fund currency, the return may rise or fall as a result of currency fluctuations.

The tax treatment depends on the personal circumstances of the investor.


The published current prospectus or the information for investors according to § 21 AIFMG as well as the basic information sheet and the customer information document (key investor information or KID) of the investment fund are available to interested parties in German at www.kathrein.at under „Investment Solutions / Our Funds“. These documents represent the sole sales document and contain important risk information


A summary of investor rights in German and information on ending cross-border sales in a member state can be found for funds with Raiffeisen Kapitalanlage GmbH as the management company (KAG) at 20210802_summary of investor rights.pdf and for funds with Masterinvest Kapitalanlage GmbH as management company (KAG) under rights_of_investors_en.pdf.