SEVEN CAPITAL MANAGEMENT : Performances

A range of funds bringing solutions and value added to the differents portfolios’ compartments

EQUITY – UCITS

Code ISIN Daily Return NAV Last Update Day Month Year Prospectus Reporting
LU1229130585 Seven European Equity Fund (I) 278.55 27/01/2025 -0.52% 5.40% 5.40% pdf à télécharger pdf à télécharger
LU1229130742 Seven European Equity Fund (R) 234.88 27/01/2025 -0.53% 5.34% 5.34% pdf à télécharger pdf à télécharger

DIVERSIFIED – UCITS

Code ISIN Daily Return NAV Last Update Day Month Year Prospectus Reporting
LU2109939087 Seven Force 2 (I) 100.41 27/01/2025 -0.1% 0.78% 0.78% pdf à télécharger pdf à télécharger
LU2109939160 Seven Force 2 (R) 98.86 27/01/2025 -0.1% 0.76% 0.76% pdf à télécharger pdf à télécharger
LU1229132441 Seven Force 5 (I) 126.45 27/01/2025 -0.29% 2.17% 2.17% pdf à télécharger pdf à télécharger
LU1229132797 Seven Force 5 (R) 108.10 27/01/2025 -0.29% 2.14% 2.14% pdf à télécharger pdf à télécharger
LU2383069221 Seven Force 10 (A) 95.80 27/01/2025 -0.61% 1.39% 1.39% pdf à télécharger pdf à télécharger

MULTI-ASSET LONG SHORT – CERTIFICAT

Code ISIN Daily Return NAV Last Update Day Month Year Prospectus Reporting
XS1700086850 Certificat Seven Absolute Return Momentum Index 1.15 27/01/2025 -1.1% 1.63% 1.63% pdf à télécharger pdf à télécharger
XS2308813240 Seven Macro Systematic Index 1.06 27/01/2025 -0.96% 2.18% 2.18%

GESTION SICAV FIAR

Code ISIN Valorisation Quotidienne NAV Last Update Day Month Year Prospectus Reporting
LU2626292523 Seven Patrimoine Opportunistic 102.04 27/01/2025 -2.12% 0.00% 0.00% pdf à télécharger

The investor can lose all or part of the amount of capital invested, the UCITs are not guaranteed in capital