NAO Europa Responsable

Recommended investment term

4 years

Return YTD

– %

Total Net Assets

Fund category

European Equity

Shareholders number

The fund will invest at least 75% of its total exposure in European equities and occasionally in other OECD countries, which meet our financial analysis and sustainability criteria, using the Eurostoxx50 Net Return index as a benchmark.

The fund’s objective is to offer a capital appreciation of the invested capital appropriate to its level of risk, seeking to preserve capital in bad market times.

Return

Beginning 1M 3M 6M YTD 1Y 3Y
Nao Europa Responsable
- - - - - - -
Benchmark
- - - - - - -

Additional information

Launching date

09/11/2018

Fund currency

EUR

Management fee

1,50%

Minimum initial investment amount

0€

Custodian

Bankinter, S.A.

Auditor

Deloitte

EU SFDR

Article 8

Documents

Portfolio structure

By asset exposure

By business sector

By currency of exposure

By country

By securities

By market cap

By debt level

By water consumption

By energy consumption

By GHG emissions

By waste generation

Other ESG indicators