Source : HOMA CAPITAL
MTD: Month To Date.
3Y*, 5Y* : annualized returns.
ITD: Inception to Date.
In a nutshell
Risk level

Higher risk is associated with greater probability of higher return and lower risk with a greater probability of smaller return. You may not recover the amount originally invested. Before taking any investement decision, please carefully read the prospectus available below.
Management team

HEAD OF WEALTH MANAGEMENT

ANALYST / PORTFOLIO MANAGER
Performance
Evolution of the net asset value since inception
Past performance does not guarantee future performance.
Characteristics
LEGAL FORM
French mutual fund (FCP) incorporated in France
CURRENCY
Euro
INCEPTION DATE
07/11/2013
ASSET CLASS
Obligations d’entreprises, actions, ETF et OPCVM
ELIGIBILITY
All subscribers
ISIN CODE
FR0011584424
RECOMMENDED INVESTMENT PERIOD
At least 5 years
DISTRIBUTION POLICY
Capitalization
NAV CALCULATION
Daily
ORDER RECEPTION DEADLINE
CUSTODIAN
SOCIETE GENERALE S.A.
FUND VALUATION
SOCIETE GENERALE S.A.
AUDITOR
DELOITTE Touche Thomatsu
Management fees
MANAGEMENT FEE
1.80% maximum
SUBSCRIPTION FEE
2.0% maximum
PERFORMANCE FEE
15% (incl. taxes) of the FCP’s outperformance above a linear 5% annual increase. For further details, please refer to the prospectus below.
Legal documents
Marketing documents
The report is available upon request by email at contact@homacapital.fr.