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ASSET ALLOCATION

DPE L Patrimoine A

Class A - FR001400N913 - NAV : 103,60

Performance 2025

-0,42%

Annualized performance

+3,41%since inception
on 29/02/2024

AuM

3,4 € millions

Investment horizon

3 years

SRI PRIIPS

2/7

As of 20/03/2025

Fund Managers

Alexis Bienvenu

Fund Manager

Clément Inbona

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.

Cumulative performance (%)

DPE L Patrimoine A Benchmark
3 months -0,55 -0,65
2025 -0,42 -0,54
1 year +3,15 +3,19
3 years - -
5 years - -
10 years - -
Inception +3,60 +4,51

Annualised performance (%)

DPE L Patrimoine A Benchmark
1 year +3,15 +3,19
3 years - -
5 years - -
10 years - -
Inception +3,41 +4,23

Calendar performance (%)

DPE L Patrimoine A -0,42
Benchmark -0,54
DPE L Patrimoine A -
Benchmark -

Cumulative performance (%)

DPE L Patrimoine A -0,55
Benchmark -0,65
DPE L Patrimoine A -0,42
Benchmark -0,54
DPE L Patrimoine A +3,15
Benchmark +3,19
DPE L Patrimoine A -
Benchmark -
DPE L Patrimoine A -
Benchmark -
DPE L Patrimoine A -
Benchmark -
DPE L Patrimoine A +3,60
Benchmark +4,51

Annualised performance (%)

DPE L Patrimoine A +3,15
Benchmark +3,19
DPE L Patrimoine A -
Benchmark -
DPE L Patrimoine A -
Benchmark -
DPE L Patrimoine A -
Benchmark -
DPE L Patrimoine A +3,41
Benchmark +4,23

Risk indicators (%)

Fund volatility Index volatility Sharpe ratio Information ratio Beta
1 year 3,13 4,21 0,91 -0,25 0,70
3 years - - - - -
5 years - - - - -

Risk indicators (%)

Fund volatility 3,13
Index volatility 4,21
Sharpe ratio 0,91
Information ratio -0,25
Beta 0,70
Fund volatility -
Index volatility -
Sharpe ratio -
Information ratio -
Beta -
Fund volatility -
Index volatility -
Sharpe ratio -
Information ratio -
Beta -

Characteristics

General characteristics of the fund
Fund Inception 29/02/2024
Société de gestion La Financière de l'Echiquier
Legal form
Reference indicator 85% BLOOMBERG EURO AGGREGATE TR, 8% MSCI EUROPE NR, 7% MSCI WORLD NET TOTAL RETURN (en EUR)
Investment horizon 3 years
Periodicity and Listing currency (EUR)
Custodian BNP Paribas SA
Fund Administrator Société Générale
SFDR classification Article 6
Share class characteristics
Fund Inception 29/02/2024
ISIN Code FR001400N913
SRI PRIIPS 2/7
Minimum subscription amount Null
Investor profile
Tax included Including tax 1,92%
Subscription fee max. tax incl. not retained by the fund 3,00%
Redemption fee max. tax incl. not retained by the fund 0,00%
Frais de gestion et autres frais administratifs et d'exploitation
(based on the fund's last fiscal year)
1,92%
Coûts de transaction
(based on the average of the fund's last 3 fiscal years)
0,07%