MA Patrimoine Flexible
Flexible & Diversified
“MA Patrimoine Flexible is a responsive investment fund with a highly flexible approach to asset allocation. It aims to achieve long-term capital growth while significantly cushioning declines in equity markets.”
Key Points
- A multi-asset fund managed with an absolute return mindset
- An investment process directly inspired by the Total Portfolio Approach
- A core portfolio holding for individual investors and foundations; a flexible and responsive allocation component for institutional investors
Inception date
Legal status
AMF classification
PEA eligible (France only)
no
Currency
EUR
ISIN Codes
FR0014019IF6 (MA Patrimoine Flexible Part IS)
FR001401AP38 (MA Patrimoine Flexible Part IC)
FR0014019IE9 (MA Patrimoine Flexible Part RC)
FR0014019IH2 (MA Patrimoine Flexible Part EB)
Cost
Investment management company
Custodian
Valuation
Cut-off
Investment horizon
Approved for distribution in
Centralist
Transfert agent
SFDR
ISIN: FR0014019IF6
VL
Risk Indicator - SRI
Documents
Main Risks
- Risk of capital loss
- Risk associated with discretionary management
- Equity market risk
- Small and mid-cap equity risk
- Emerging markets investment risk
- Currency risk
- Interest rate risk
- Credit risk
- Convertible bond risk: The sub-fund may be exposed to convertible bond risk.
- Risk associated with investments in speculative (high-yield) securities
- Liquidity risk associated with investments in UCITS or investment funds
- Risk associated with the use of techniques such as derivatives
- Sustainability risks
All risks associated with this product are detailed in the fund’s prospectus. Please refer to it for further information.
YTD
5 years performance