Efficient Emerging Equities

Monthly Letter November 2024
DOCS
Monthly Letters Archive

KIDS

The Efficient Emerging Equities Sub-Fund aims to obtain long-term gains and will seek to have exposure to the equities of Emerging Markets that will range between 95% and 100% of its net assets only by using listed financial derivative instruments, actively dealt in regulated markets domiciled in developed countries.

By nature of its investment policy, the Efficient Emerging Equities Sub-Fund will make considerable use of financial derivative instruments for investment purposes and also for both currency hedging and efficient portfolio management purposes. Within this framework the Efficient Emerging Equities Sub-Fund will use exchange-traded stock index futures, exchange traded currency futures and currency forwards.

PERFORMANCE OF THE SUB-FUND:


Total return
2020
35.47%
2021
-7.57%
2022
-25.26%
2023
-0.56%
2024
5.91%

PERFORMANCE STATISTICS AS OF 18/12/2024

NAV: 763.628
MTD: -1.607%
QTD: -8.129%
YTD: 5.913%

KEY FEATURES:

Investment Manager: Compass Asset Management SA
Inception date: April 2015
Liquidity: Daily
Minimum subscription: Euro 1,000
Minimum subsequent subscription: Euro 100
Fees: Initial fee: 0.00%
Anti-diluition fee on subscriptions: max 5.00%
Exit fee: 0.00%
Anti-diluition on redemptions: max 2.00%
Management fee cl. A: 1.25%
Management fee cl. B: 1.60%
Management fee cl. M: 0.75%
Management fee cl. I (USD): 0.60%
Bloomberg: Class A: CFCSAAE LX
Class M: CFCSAME LX
Isin code: Class A: LU1190404001
Class B: LU1190404183
Class M: LU1190404936
Class M (USD): LU1929491576
Class I (USD): LU1190404696