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EQUITIES / EUROPEAN RANGE - SMALL & MID CAP

Echiquier Agenor Mid Cap Europe I

Echiquier Agenor Mid Cap Europe is a fund invested in European growth mid-caps, selected for their capacity to generate value independently of the cycle and the quality of their governance.

Class I - FR0011188259 - NAV : 3 344,63

Performance 2026

+0,50%

Annualized performance

+8,82%since inception
on 06/02/2012

AuM

1 161,3 € millions

Investment horizon

5 years

SRI PRIIPS

4/7

As of 05/03/2026

Fund news

Fund Spotlight 14/03/2025

A look at Echiquier Agenor SRI Mid Cap Europe | March 2025

Fund Spotlight 15/03/2024

Update on Echiquier Agenor SRI Mid Cap Europe

Fund Managers

Stéphanie Bobtcheff, CFA

Head of Small
& Mid Caps Team
Fund manager

José Berros

Fund Manager

Philbert Veissières

Fund manager

Performance

-

Price data

Calendar performance (%)

Past performance is not an indication of future performance. Returns indicated are after management fees but before taxes paid by the investor.
The performance of the fund and the benchmark take dividend payments into account (as of 2013). However, until 2012, the benchmark did not reflect income Until 31 December 2021, the benchmark was the MSCI Europe Small Cap dividends reinvested.

Cumulative performance (%)

Echiquier Agenor Mid Cap Europe I Benchmark
3 months +1,88 +4,83
2026 +0,50 +2,46
1 year +1,02 +15,78
3 years +11,72 +41,05
5 years +2,49 +50,03
10 years +97,86 +132,57
Inception +228,91 +324,25

Annualised performance (%)

Echiquier Agenor Mid Cap Europe I Benchmark
1 year +1,02 +15,78
3 years +3,76 +12,14
5 years +0,49 +8,45
10 years +7,06 +8,80
Inception +8,82 +10,80

Calendar performance (%)

Echiquier Agenor Mid Cap Europe I +0,50
Benchmark +2,46
Echiquier Agenor Mid Cap Europe I +4,74
Benchmark +22,78
Echiquier Agenor Mid Cap Europe I +2,41
Benchmark +9,25
Echiquier Agenor Mid Cap Europe I +10,73
Benchmark +14,19
Echiquier Agenor Mid Cap Europe I -28,78
Benchmark -19,27
Echiquier Agenor Mid Cap Europe I +17,19
Benchmark +23,82
Echiquier Agenor Mid Cap Europe I +15,59
Benchmark +4,58
Echiquier Agenor Mid Cap Europe I +36,33
Benchmark +31,44
Echiquier Agenor Mid Cap Europe I -6,75
Benchmark -15,86
Echiquier Agenor Mid Cap Europe I +24,27
Benchmark +19,03

Cumulative performance (%)

Echiquier Agenor Mid Cap Europe I +1,88
Benchmark +4,83
Echiquier Agenor Mid Cap Europe I +0,50
Benchmark +2,46
Echiquier Agenor Mid Cap Europe I +1,02
Benchmark +15,78
Echiquier Agenor Mid Cap Europe I +11,72
Benchmark +41,05
Echiquier Agenor Mid Cap Europe I +2,49
Benchmark +50,03
Echiquier Agenor Mid Cap Europe I +97,86
Benchmark +132,57
Echiquier Agenor Mid Cap Europe I +228,91
Benchmark +324,25

Annualised performance (%)

Echiquier Agenor Mid Cap Europe I +1,02
Benchmark +15,78
Echiquier Agenor Mid Cap Europe I +3,76
Benchmark +12,14
Echiquier Agenor Mid Cap Europe I +0,49
Benchmark +8,45
Echiquier Agenor Mid Cap Europe I +7,06
Benchmark +8,80
Echiquier Agenor Mid Cap Europe I +8,82
Benchmark +10,80

Risk indicators (%)

Fund volatility Index volatility Sharpe ratio Information ratio Beta Tracking Error
1 year 14,72 14,46 0,18 -3,30 0,97 4,43
3 years 14,01 13,21 0,40 -1,49 0,97 5,75
5 years 16,17 14,68 0,08 -1,12 1,00 6,83

Risk indicators (%)

Fund volatility 14,72
Index volatility 14,46
Sharpe ratio 0,18
Information ratio -3,30
Beta 0,97
Tracking Error 4,43
Fund volatility 14,01
Index volatility 13,21
Sharpe ratio 0,40
Information ratio -1,49
Beta 0,97
Tracking Error 5,75
Fund volatility 16,17
Index volatility 14,68
Sharpe ratio 0,08
Information ratio -1,12
Beta 1,00
Tracking Error 6,83

Characteristics

General characteristics of the fund
Fund Inception 27/02/2004
Investment management company La Financière de l'Echiquier
Legal form SICAV compartment
Classification Number of investment funds managed
Reference indicator MSCI EUROPE MID CAP NET RETURN EUR
Investment horizon 5 years
Periodicity and Listing currency Daily (EUR)
Custodian BNP Paribas SA
Fund Administrator Société Générale
SFDR classification Article 8
Share class characteristics
Fund Inception 06/02/2012
ISIN Code FR0011188259
SRI PRIIPS 4/7
Minimum subscription amount 1 000 000 €
Investor profile Reserved for institutional investors
Tax included Including tax 0,93%
Operating expenses and other services 0,09%
Subscription fee max. tax incl. not retained by the fund 3,00%
Redemption fee max. tax incl. not retained by the fund 0,00%
Management fees and other administrative and operating expenses
(based on the fund’s last fiscal year)
1,04%
Transaction costs
(based on the average of the fund’s last 3 fiscal years)
0,34%