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  • Aiming to achieve an absolute return over the medium term through capital growth
  • Investing primarily in European equities and equity related securities on both a long and short basis
  • Differentiated and disciplined bottom up investment philosophy complemented by a macroeconomic overlay to support sector positioning
  • Flexible net exposure between -10% and +50% driven by fundamental idea generation and market volatility
  • Investment team focus on four strategic themes which provide a strong base for long investment opportunities and three strategic themes to identify short opportunities

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.

Performances

Data as of 2026-01-08

Track Record

Annuals Performances

Performances from 2026-01-08NAVYTD1 year3 yearsSince inception2025
ELEVA Absolute Return Europe A2 acc EUR138,17 €+1,31 %+6,12 %+16,60 %+38,17 %+4,88 %
Past performance is not a guarantee of future results and no assurance can be given that capital initially invested will be preserved
Performances from 2026-01-08
NAV
ELEVA Absolute Return Europe A2 acc EUR
138,17 €
YTD
ELEVA Absolute Return Europe A2 acc EUR
+1,31 %
1 year
ELEVA Absolute Return Europe A2 acc EUR
+6,12 %
3 years
ELEVA Absolute Return Europe A2 acc EUR
+16,60 %
Creation
ELEVA Absolute Return Europe A2 acc EUR
+38,17 %
2025
ELEVA Absolute Return Europe A2 acc EUR
+4,88 %

Summary

Performances from 2026-01-08
NAV138,17 €
Fund Size4 741.07M€
ISIN CodeLU1920211973
Bloomberg Ticker
SFDRArticle 8
SRI

Characteristics

Legal Type-
CountriesAT, BE, CH, DE, FR, IE, IT, LU, NO, PT, SG
CustodianBNP Paribas, Luxembourg
Management Fees2.2% TTC
Subscription Fees2.0% TTC maximum
Redemption Fees-
Recommended investment period5 ans
Life Insurance EligibilityYes
PEA EligibilityNo

Performance scenarios (PRIIPS)

Available Shares

Performances from 2026-01-08
Share NameISIN CodeNAVYTD20251 year3 yearsSince inceptionSRIPRIIPs KID
ELEVA Absolute Return Europe - A2 acc EURLU1920211973138.17 EUR+1,31 %+4,88 %+6,12 %+16,60 %+38,17 %
2/7
ELEVA Absolute Return Europe - A1 acc EURLU1331971769156.12 EUR+1,32 %+5,05 %+6,30 %+17,15 %+56,12 %
2/7
ELEVA Absolute Return Europe - A1 dis EURLU1543705369140.19 EUR+1,32 %+4,78 %+6,26 %+16,84 %+40,19 %
2/7
ELEVA Absolute Return Europe - A1 acc CHF hedgedLU1331972064140.86 CHF+1,28 %+3,10 %+4,31 %+10,77 %+40,86 %
2/7
ELEVA Absolute Return Europe - A1 acc GBP hedgedLU1716218950147.44 GBP+1,34 %+6,63 %+7,89 %+21,31 %+47,44 %
2/7
ELEVA Absolute Return Europe - A1 dis GBP hedgedLU1331972221102.34 GBP-----
3/7
ELEVA Absolute Return Europe - A1 acc USD hedgedLU1331971926179.25 USD+1,34 %+6,78 %+8,03 %+22,20 %+79,25 %
2/7
ELEVA Absolute Return Europe - A1 acc USDLU1331971843139.92 USD+0,78 %+16,47 %+17,80 %+28,25 %+39,92 %
3/7
ELEVA Absolute Return Europe - A1 dis. USD hedgedLU1716219099------
3/7
ELEVA Absolute Return Europe - A1 dis. USD hedgedLU1716219172------
2/7
ELEVA Absolute Return Europe - A1 acc. SGD hedgedLU1331972148------
2/7
ELEVA Absolute Return Europe - R acc EURLU1331973468168.98 EUR+1,34 %+5,89 %+7,15 %+20,01 %+68,98 %
2/7
ELEVA Absolute Return Europe - R dis EURLU1716219503147.79 EUR+1,34 %+4,60 %+7,11 %+17,60 %+47,79 %
2/7
ELEVA Absolute Return Europe - R acc CHF hedgedLU1331973898144.74 CHF+1,29 %+3,94 %+5,15 %+13,36 %+44,74 %
2/7
ELEVA Absolute Return Europe - R acc GBP hedgedLU1331973542162.68 GBP+1,35 %+7,49 %+8,76 %+24,24 %+62,68 %
2/7
ELEVA Absolute Return Europe - R dis GBP hedgedLU2639907497------
2/7
ELEVA Absolute Return Europe - R dis. GBP hedgedLU1331973971------
3/7
ELEVA Absolute Return Europe - R acc USD hedgedLU1331973625162.93 USD+1,36 %+7,63 %+8,90 %+25,14 %-
2/7
ELEVA Absolute Return Europe - R acc. USD hedgedLU1716219339------
3/7
ELEVA Absolute Return Europe - R dis USD hedgedLU1716219685126.93 USD+1,35 %+6,37 %+8,82 %+22,65 %-
2/7
ELEVA Absolute Return Europe - R dis. USD hedgedLU1331974193------
3/7
ELEVA Absolute Return Europe - R acc. SGD hedgedLU1716219412------
2/7
Available Shares
ELEVA Absolute Return Europe - A2 acc EUR
ISIN Code
LU1920211973
NAV
138.17 EUR
YTD
+1,31 %
2025
+4,88 %
1 year
+6,12 %
3 years
+16,60 %
Since inception
+38,17 %
SRI

2/7
PRIIPs KID
ELEVA Absolute Return Europe - A1 acc EUR
ISIN Code
LU1331971769
NAV
156.12 EUR
YTD
+1,32 %
2025
+5,05 %
1 year
+6,30 %
3 years
+17,15 %
Since inception
+56,12 %
SRI

2/7
PRIIPs KID
ELEVA Absolute Return Europe - A1 dis EUR
ISIN Code
LU1543705369
NAV
140.19 EUR
YTD
+1,32 %
2025
+4,78 %
1 year
+6,26 %
3 years
+16,84 %
Since inception
+40,19 %
SRI

2/7
PRIIPs KID
ELEVA Absolute Return Europe - A1 acc CHF hedged
ISIN Code
LU1331972064
NAV
140.86 CHF
YTD
+1,28 %
2025
+3,10 %
1 year
+4,31 %
3 years
+10,77 %
Since inception
+40,86 %
SRI

2/7
PRIIPs KID
ELEVA Absolute Return Europe - A1 acc GBP hedged
ISIN Code
LU1716218950
NAV
147.44 GBP
YTD
+1,34 %
2025
+6,63 %
1 year
+7,89 %
3 years
+21,31 %
Since inception
+47,44 %
SRI

2/7
PRIIPs KID
ELEVA Absolute Return Europe - A1 dis GBP hedged
ISIN Code
LU1331972221
NAV
102.34 GBP
YTD
-
2025
-
1 year
-
3 years
-
Since inception
-
SRI

3/7
PRIIPs KID
ELEVA Absolute Return Europe - A1 acc USD hedged
ISIN Code
LU1331971926
NAV
179.25 USD
YTD
+1,34 %
2025
+6,78 %
1 year
+8,03 %
3 years
+22,20 %
Since inception
+79,25 %
SRI

2/7
PRIIPs KID
ELEVA Absolute Return Europe - A1 acc USD
ISIN Code
LU1331971843
NAV
139.92 USD
YTD
+0,78 %
2025
+16,47 %
1 year
+17,80 %
3 years
+28,25 %
Since inception
+39,92 %
SRI

3/7
PRIIPs KID
ELEVA Absolute Return Europe - A1 dis. USD hedged
ISIN Code
LU1716219099
NAV
-
YTD
-
2025
-
1 year
-
3 years
-
Since inception
-
SRI

3/7
PRIIPs KID
ELEVA Absolute Return Europe - A1 dis. USD hedged
ISIN Code
LU1716219172
NAV
-
YTD
-
2025
-
1 year
-
3 years
-
Since inception
-
SRI

2/7
PRIIPs KID
ELEVA Absolute Return Europe - A1 acc. SGD hedged
ISIN Code
LU1331972148
NAV
-
YTD
-
2025
-
1 year
-
3 years
-
Since inception
-
SRI

2/7
PRIIPs KID
ELEVA Absolute Return Europe - R acc EUR
ISIN Code
LU1331973468
NAV
168.98 EUR
YTD
+1,34 %
2025
+5,89 %
1 year
+7,15 %
3 years
+20,01 %
Since inception
+68,98 %
SRI

2/7
PRIIPs KID
ELEVA Absolute Return Europe - R dis EUR
ISIN Code
LU1716219503
NAV
147.79 EUR
YTD
+1,34 %
2025
+4,60 %
1 year
+7,11 %
3 years
+17,60 %
Since inception
+47,79 %
SRI

2/7
PRIIPs KID
ELEVA Absolute Return Europe - R acc CHF hedged
ISIN Code
LU1331973898
NAV
144.74 CHF
YTD
+1,29 %
2025
+3,94 %
1 year
+5,15 %
3 years
+13,36 %
Since inception
+44,74 %
SRI

2/7
PRIIPs KID
ELEVA Absolute Return Europe - R acc GBP hedged
ISIN Code
LU1331973542
NAV
162.68 GBP
YTD
+1,35 %
2025
+7,49 %
1 year
+8,76 %
3 years
+24,24 %
Since inception
+62,68 %
SRI

2/7
PRIIPs KID
ELEVA Absolute Return Europe - R dis GBP hedged
ISIN Code
LU2639907497
NAV
-
YTD
-
2025
-
1 year
-
3 years
-
Since inception
-
SRI

2/7
PRIIPs KID
ELEVA Absolute Return Europe - R dis. GBP hedged
ISIN Code
LU1331973971
NAV
-
YTD
-
2025
-
1 year
-
3 years
-
Since inception
-
SRI

3/7
PRIIPs KID
ELEVA Absolute Return Europe - R acc USD hedged
ISIN Code
LU1331973625
NAV
162.93 USD
YTD
+1,36 %
2025
+7,63 %
1 year
+8,90 %
3 years
+25,14 %
Since inception
-
SRI

2/7
PRIIPs KID
ELEVA Absolute Return Europe - R acc. USD hedged
ISIN Code
LU1716219339
NAV
-
YTD
-
2025
-
1 year
-
3 years
-
Since inception
-
SRI

3/7
PRIIPs KID
ELEVA Absolute Return Europe - R dis USD hedged
ISIN Code
LU1716219685
NAV
126.93 USD
YTD
+1,35 %
2025
+6,37 %
1 year
+8,82 %
3 years
+22,65 %
Since inception
-
SRI

2/7
PRIIPs KID
ELEVA Absolute Return Europe - R dis. USD hedged
ISIN Code
LU1331974193
NAV
-
YTD
-
2025
-
1 year
-
3 years
-
Since inception
-
SRI

3/7
PRIIPs KID
ELEVA Absolute Return Europe - R acc. SGD hedged
ISIN Code
LU1716219412
NAV
-
YTD
-
2025
-
1 year
-
3 years
-
Since inception
-
SRI

2/7
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.