- Risk of capital loss: The fund offers no performance or capital guarantee.
- Risk related to discretionary management: There is a risk that the SICAV may not always be invested in the best-performing stocks.
- Equity risk: Equity markets can experience significant fluctuations, including substantial declines. Additionally, the fund is primarily invested (up to 25% of net assets) in small- and mid-cap stocks, which, due to their specific characteristics, may pose risks for investors.
- Sector concentration risk: There is a risk of loss due to the portfolio being concentrated in stocks directly or indirectly related to the sports sector. In the event of a decline in this sector, the fund’s net asset value may decrease more quickly and sharply than equity markets and exhibit increased volatility.
- Sustainability risk: The UCITS is exposed to the risk that an event or situation in the environmental, social, or governance domain, if it occurs, could have a significant negative impact, either actual or potential, on the value of the securities in the portfolio.
- Other risks: Currency risk, liquidity risk, risk related to the use of derivative instruments, risk associated with investments in emerging markets, interest rate risk, credit risk, risk linked to speculative securities, risk related to convertible bonds, and counterparty risk.
The risks are detailed in the prospectus.