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  • The ELEVA European Multi Opportunities Fund, which is a multi-asset sub-fund, seeks to achieve a positive absolute return over the medium term, mainly through active and flexible management of European equities and equity related securities, and debt securities denominated primarily in Euro
  • A dynamic allocation, totally flexible allocation from 0% to 100% in equities and debt
  • Conviction-based and bottom-up approach complemented by a top-down analysis
  • Equity: Flexible, opportunistic, and pragmatic approach, with no sector/country bias and style/market cap agnostic
  • Fixed income: Total return approach with hedging of downside risk and duration comprised between 0 and 7 years

The fund invests primarily in equity and equity related securities of corporate issuers with their registered office in Europe, and bonds and other debt securities of private, public and semi-public issuers worldwide based denominated primarily in Euro. Several factors are expected to influence the fund’s asset value, among which: macroeconomics, public policies and issuers’ specific factors.

Performances

Data as of 2026-05-20

Track Record

Annuals Performances

Performances from 2026-05-20NAVYTD1 year3 yearsSince inception2025
ELEVA European Multi Opportunities A2 acc EUR131,96 €+1,96 %+9,29 %+25,89 %+31,96 %+10,61 %
Past performance is not a guarantee of future results and no assurance can be given that capital initially invested will be preserved
Performances from 2026-05-20
NAV
ELEVA European Multi Opportunities A2 acc EUR
131,96 €
YTD
ELEVA European Multi Opportunities A2 acc EUR
+1,96 %
1 year
ELEVA European Multi Opportunities A2 acc EUR
+9,29 %
3 years
ELEVA European Multi Opportunities A2 acc EUR
+25,89 %
Creation
ELEVA European Multi Opportunities A2 acc EUR
+31,96 %
2025
ELEVA European Multi Opportunities A2 acc EUR
+10,61 %

Summary

Performances from 2026-05-20
NAV131,96 €
Fund Size41.13M€
ISIN CodeLU2539368782
Bloomberg TickerELVEURA LX Equity
SFDRArticle 8
SRI

Characteristics

Legal Type-
CountriesCH, FR, IT, LU
CustodianBNP Paribas, Luxembourg branch
Management Fees2.2%
Subscription Fees3.0%
--
Recommended investment period5 years
Life Insurance EligibilityNo
PEA EligibilityNo

Performance scenarios (PRIIPS)

Available Shares

Performances from 2026-05-20
Share NameISIN CodeNAVYTD20251 year3 yearsSince inceptionSRIPRIIPs KID
ELEVA European Multi Opportunities - A2 acc EURLU2539368782131.96 EUR+1,96 %+10,61 %+9,29 %+25,89 %+31,96 %
3/7
ELEVA European Multi Opportunities - A1 acc EURLU2539367461133.06 EUR+2,44 %+10,95 %+10,11 %+26,93 %+33,06 %
3/7
ELEVA European Multi Opportunities - R acc EURLU2539370093140.79 EUR+2,55 %+12,09 %+10,64 %+33,20 %+40,79 %
3/7
Available Shares
ELEVA European Multi Opportunities - A2 acc EUR
ISIN Code
LU2539368782
NAV
131.96 EUR
YTD
+1,96 %
2025
+10,61 %
1 year
+9,29 %
3 years
+25,89 %
Since inception
+31,96 %
SRI

3/7
PRIIPs KID
ELEVA European Multi Opportunities - A1 acc EUR
ISIN Code
LU2539367461
NAV
133.06 EUR
YTD
+2,44 %
2025
+10,95 %
1 year
+10,11 %
3 years
+26,93 %
Since inception
+33,06 %
SRI

3/7
PRIIPs KID
ELEVA European Multi Opportunities - R acc EUR
ISIN Code
LU2539370093
NAV
140.79 EUR
YTD
+2,55 %
2025
+12,09 %
1 year
+10,64 %
3 years
+33,20 %
Since inception
+40,79 %
SRI

3/7
PRIIPs KID

Past performance is not a guarantee of future results and no assurance can be given that capital initially invested will be preserved

The above is provided for information purposes only and is not intended to be investment advice. Past performance is no guarantee of future results. The impact of management fees on performance has been included. Access to the products and services presented here may be subject to restrictions with respect to certain individuals or countries. The tax treatment could vary on the situation of each. For further information on the structure and fees, please read this document in conjunction with the prospectus and relevant KIIDs which are available on this site or free of charge upon request from the registered office of the management company.