Cookies
  • Mira a ottenere superiori rendimenti corretti per il rischio
  • Orizzonte temporale di medio termine
  • Investe principalmente in azioni europee e titoli legati ad azioni
  • Investimento ad elevata convinzione che utilizza la selezione di titoli bottom-up, con un active weight elevato dell’80%+ e un tracking error target del 6%
  • Approccio flessibile, opportunistico e pragmatico, senza bias di settore/paese e agnostico per stile/capitalizzazione di mercato
  • Utilizzo di un indicatore macroeconomico per supportare il posizionamento settoriale
  • Il team di investimento si concentra su quattro temi strategici che forniscono una solida base per le opportunità di investimento

Le compartiment investira principalement dans des actions européennes et titres assimilés selectionnés par le gérant. La valeur de la part du compartiment est susceptible de fluctuer de manière importante en fonction de différents facteurs liés à des changements propres aux entreprises représentées en portefeuille, des chiffres macro- économiques, de la législation juridique et fiscale.

Rendimenti

Data as of 2026-03-05

Track Record

Annuals Performances

Rendimenti al 2026-03-05NAVYTD1 year3 yearsSince inception2025
ELEVA European Selection A1 dis EUR193.15 €-0.77 %+10.14 %+34.88 %+93.15 %+17.76 %
Stoxx Europe 600 NR1 515.92 +2.31 %+11.66 %+40.95 %+92.66 %+49.94 %
Outperformance- -3,08 -1,52 -6,07+ 0,49 -32,18
La performance passata non è una garanzia di risultati futuri e non è possibile garantire che il capitale inizialmente investito sarà preservato.
Rendimenti al 2026-03-05
NAV
ELEVA European Selection A1 dis EUR
193.15 €
Stoxx Europe 600 NR
1 515.92
Outperformance
-
YTD
ELEVA European Selection A1 dis EUR
-0.77 %
Stoxx Europe 600 NR
+2.31 %
Outperformance
-3,08
1 year
ELEVA European Selection A1 dis EUR
+10.14 %
Stoxx Europe 600 NR
+11.66 %
Outperformance
-1,52
3 years
ELEVA European Selection A1 dis EUR
+34.88 %
Stoxx Europe 600 NR
+40.95 %
Outperformance
-6,07
Creation
ELEVA European Selection A1 dis EUR
+93.15 %
Stoxx Europe 600 NR
+92.66 %
Outperformance
+ 0,49
2025
ELEVA European Selection A1 dis EUR
+17.76 %
Stoxx Europe 600 NR
+49.94 %
Outperformance
-32,18

Summary

Rendimenti al 2026-03-05
NAV193.15 €
Fund Size8 672.3M€
ISIN CodeLU1543705286
Bloomberg TickerELESA1D LX Equity
BenchmarkStoxx Europe 600 NR
SFDRArticle 8
SRI

Characteristics

Legal Type-
CountriesAT, BE, CH, DE, GB, ES, FR, IT, LU, NL, PT, SG
CustodianBNP Paribas, Luxembourg Branch
Management Fees1.5% TTC maximum
Subscription Fees3.0% TTC maximum
Redemption Fees-
Recommended investment period5 ans
Life Insurance EligibilityYes
PEA EligibilityNo

Performance scenarios (PRIIPS)

Available Shares

Rendimenti al 2026-03-05
Share NameISIN CodeNAVYTD20251 year3 yearsSince inceptionSRIPRIIPs KID
ELEVA European Selection - A2 acc EURLU1111642820212.82 EUR+0.16 %+18.54 %+10.72 %+36.99 %+112.33 %
4/7
ELEVA European Selection - A1 acc EURLU1111642408254.84 EUR+0.25 %+19.13 %+11.28 %+38.89 %+154.84 %
4/7
ELEVA European Selection - A1 dis EURLU1543705286193.15 EUR-0.77 %+17.76 %+10.14 %+34.88 %+93.15 %
4/7
ELEVA European Selection - A1 acc CHF hedgedLU1111642663226.67 CHF-0.15 %+16.39 %+8.73 %+29.11 %+126.67 %
4/7
ELEVA European Selection - A1 acc. GBP hedgedLU1716216319------
4/7
ELEVA European Selection - A1 dis. GBP hedgedLU1331971173------
4/7
ELEVA European Selection - A1 acc USD hedgedLU1111642580300.9 USD+0.60 %+21.66 %+13.74 %+46.42 %+200.90 %
4/7
ELEVA European Selection - A1 acc USDLU1331971090------
4/7
ELEVA European Selection - A1 dis. USD hedgedLU1716216400------
4/7
ELEVA European Selection - A1 dis. USD hedgedLU1716216582------
4/7
ELEVA European Selection - A1 acc. SGD hedgedLU1111642747------
4/7
ELEVA European Selection - R acc EURLU1111643711266.51 EUR+0.35 %+19.84 %+11.93 %+41.15 %+166.51 %
4/7
ELEVA European Selection - R dis EURLU1716217044188.34 EUR-0.92 %+17.78 %+10.52 %+35.21 %+88.34 %
4/7
ELEVA European Selection - R acc CHF hedgedLU1148164426210.18 CHF-0.02 %+17.16 %+9.47 %+31.37 %+110.18 %
4/7
ELEVA European Selection - R acc GBP hedgedLU1111643802265.86 GBP+0.65 %+21.82 %+13.81 %+46.57 %-
4/7
ELEVA European Selection - R dis. GBP hedgedLU1331971504------
4/7
ELEVA European Selection - R acc USD hedgedLU1148156323260.31 USD+0.68 %+22.43 %+14.44 %+48.83 %+160.31 %
4/7
ELEVA European Selection - R acc. USD hedgedLU1716216749------
4/7
ELEVA European Selection - R dis. USD hedgedLU1331971686------
4/7
ELEVA European Selection - R dis. USD hedgedLU1716217127------
4/7
ELEVA European Selection - R acc. SGD hedgedLU1716216822------
4/7
Available Shares
ELEVA European Selection - A2 acc EUR
ISIN Code
LU1111642820
NAV
212.82 EUR
YTD
+0.16 %
2025
+18.54 %
1 year
+10.72 %
3 years
+36.99 %
Since inception
+112.33 %
SRI

4/7
PRIIPs KID
ELEVA European Selection - A1 acc EUR
ISIN Code
LU1111642408
NAV
254.84 EUR
YTD
+0.25 %
2025
+19.13 %
1 year
+11.28 %
3 years
+38.89 %
Since inception
+154.84 %
SRI

4/7
PRIIPs KID
ELEVA European Selection - A1 dis EUR
ISIN Code
LU1543705286
NAV
193.15 EUR
YTD
-0.77 %
2025
+17.76 %
1 year
+10.14 %
3 years
+34.88 %
Since inception
+93.15 %
SRI

4/7
PRIIPs KID
ELEVA European Selection - A1 acc CHF hedged
ISIN Code
LU1111642663
NAV
226.67 CHF
YTD
-0.15 %
2025
+16.39 %
1 year
+8.73 %
3 years
+29.11 %
Since inception
+126.67 %
SRI

4/7
PRIIPs KID
ELEVA European Selection - A1 acc. GBP hedged
ISIN Code
LU1716216319
NAV
-
YTD
-
2025
-
1 year
-
3 years
-
Since inception
-
SRI

4/7
PRIIPs KID
ELEVA European Selection - A1 dis. GBP hedged
ISIN Code
LU1331971173
NAV
-
YTD
-
2025
-
1 year
-
3 years
-
Since inception
-
SRI

4/7
PRIIPs KID
ELEVA European Selection - A1 acc USD hedged
ISIN Code
LU1111642580
NAV
300.9 USD
YTD
+0.60 %
2025
+21.66 %
1 year
+13.74 %
3 years
+46.42 %
Since inception
+200.90 %
SRI

4/7
PRIIPs KID
ELEVA European Selection - A1 acc USD
ISIN Code
LU1331971090
NAV
-
YTD
-
2025
-
1 year
-
3 years
-
Since inception
-
SRI

4/7
PRIIPs KID
ELEVA European Selection - A1 dis. USD hedged
ISIN Code
LU1716216400
NAV
-
YTD
-
2025
-
1 year
-
3 years
-
Since inception
-
SRI

4/7
PRIIPs KID
ELEVA European Selection - A1 dis. USD hedged
ISIN Code
LU1716216582
NAV
-
YTD
-
2025
-
1 year
-
3 years
-
Since inception
-
SRI

4/7
PRIIPs KID
ELEVA European Selection - A1 acc. SGD hedged
ISIN Code
LU1111642747
NAV
-
YTD
-
2025
-
1 year
-
3 years
-
Since inception
-
SRI

4/7
PRIIPs KID
ELEVA European Selection - R acc EUR
ISIN Code
LU1111643711
NAV
266.51 EUR
YTD
+0.35 %
2025
+19.84 %
1 year
+11.93 %
3 years
+41.15 %
Since inception
+166.51 %
SRI

4/7
PRIIPs KID
ELEVA European Selection - R dis EUR
ISIN Code
LU1716217044
NAV
188.34 EUR
YTD
-0.92 %
2025
+17.78 %
1 year
+10.52 %
3 years
+35.21 %
Since inception
+88.34 %
SRI

4/7
PRIIPs KID
ELEVA European Selection - R acc CHF hedged
ISIN Code
LU1148164426
NAV
210.18 CHF
YTD
-0.02 %
2025
+17.16 %
1 year
+9.47 %
3 years
+31.37 %
Since inception
+110.18 %
SRI

4/7
PRIIPs KID
ELEVA European Selection - R acc GBP hedged
ISIN Code
LU1111643802
NAV
265.86 GBP
YTD
+0.65 %
2025
+21.82 %
1 year
+13.81 %
3 years
+46.57 %
Since inception
-
SRI

4/7
PRIIPs KID
ELEVA European Selection - R dis. GBP hedged
ISIN Code
LU1331971504
NAV
-
YTD
-
2025
-
1 year
-
3 years
-
Since inception
-
SRI

4/7
PRIIPs KID
ELEVA European Selection - R acc USD hedged
ISIN Code
LU1148156323
NAV
260.31 USD
YTD
+0.68 %
2025
+22.43 %
1 year
+14.44 %
3 years
+48.83 %
Since inception
+160.31 %
SRI

4/7
PRIIPs KID
ELEVA European Selection - R acc. USD hedged
ISIN Code
LU1716216749
NAV
-
YTD
-
2025
-
1 year
-
3 years
-
Since inception
-
SRI

4/7
PRIIPs KID
ELEVA European Selection - R dis. USD hedged
ISIN Code
LU1331971686
NAV
-
YTD
-
2025
-
1 year
-
3 years
-
Since inception
-
SRI

4/7
PRIIPs KID
ELEVA European Selection - R dis. USD hedged
ISIN Code
LU1716217127
NAV
-
YTD
-
2025
-
1 year
-
3 years
-
Since inception
-
SRI

4/7
PRIIPs KID
ELEVA European Selection - R acc. SGD hedged
ISIN Code
LU1716216822
NAV
-
YTD
-
2025
-
1 year
-
3 years
-
Since inception
-
SRI

4/7
PRIIPs KID

La performance passata non è una garanzia di risultati futuri e non è possibile garantire che il capitale inizialmente investito sarà preservato.

Quanto sopra è fornito solo a scopo informativo e non intende essere un consiglio di investimento. Le performance passate non sono garanzia di risultati futuri. È stato incluso l'impatto delle commissioni di gestione sulla performance. L'accesso ai prodotti e servizi qui presentati può essere soggetto a restrizioni rispetto a determinati individui o paesi. Il trattamento fiscale potrebbe variare a seconda della situazione di ciascuno. Per ulteriori informazioni sulla struttura e sulle commissioni, si prega di leggere questo documento unitamente al prospetto e ai relativi KIID disponibili su questo sito o gratuitamente su richiesta presso la sede legale della società di gestione.