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    Fund

    CamGestion Valeurs Euro N A/I (FR0007441795.PA)

    6,751.09 Down 171.79(2.48%) Dec 15
    Prev Close:6,922.88
    YTD Return*:6.35%
    Net Assets*:506.68M
    Yield*:N/A

    * As of 30-Nov-14

    Quotes delayed, except where indicated otherwise. Currency in EUR.

    Headlines

    • No Headlines available for FR0007441795.PA at this time.

    Top Holdings

    Symbol% AssetsYTD Return %
    TTFNF.PA3.61-3.06
    SANNV.PA3.070.31
    DDAIF.DE2.94-13.49
    OXALVG.DE2.87-16.83
    SMAWF.DE2.805.92

    Fund Basics

    Morningstar Overall Rating:
    Total Assets:506.68M
    Category:Eurozone Large-Cap Equity
    Annual Report Expense Ratio (net):0.06%

    Performance & Risk

    YTD Return:6.35%
    5y Avg Return:8.36%
    Rank in Category (ytd):32
    % Rank in Category (ytd):3.4%
    Beta (3y):0.98
    Morningstar Risk Rating:3

    Fund Summary

    Le FCP a pour objectif de surperformer l?indicateur de référence EURO STOXX dividendes réinvestis, sur la durée minimale de placement recommandée, en mettant en oeuvre une stratégie de sélection des valeurs sur les marchés actions de la zone Euro. View More
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