Carmignac

La Rentrée Carmignac 2021

Our Investment team shared our market views as well as some of our key investment strategies during our exclusive event

Date
23 Sep 2021
Duration
1 hour
Language(s)
English
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Programme:

  • Behaviour of our funds
  • Our market views with Frédéric Leroux
  • Our strategic choices with Rose Ouahba and David Older
  • Illustration of our strategy through our Patrimoine range with Rose Ouahba, David Older and Keith Ney
  • Focus on Carmignac Portfolio Flexible Bond with Guillaume Rigeade and Eliezer Ben Zimra
  • Conversation with Edouard & Maxime Carmignac

Carmignac Portfolio Flexible Bond A EUR Acc

ISIN: LU0336084032

Recommended minimum investment horizon

Lower risk Higher risk

Potentially lower return Potentially higher return

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Main risks of the Fund

INTEREST RATE: Interest rate risk results in a decline in the net asset value in the event of changes in interest rates.

CREDIT: Credit risk is the risk that the issuer may default.

CURRENCY: Currency risk is linked to exposure to a currency other than the Fund’s valuation currency, either through direct investment or the use of forward financial instruments.

EQUITY: The Fund may be affected by stock price variations, the scale of which is dependent on external factors, stock trading volumes or market capitalization.

The Fund presents a risk of loss of capital.

Speaker(s)