THEAM QUANT Alpha Commodity C EUR RH

Rating and Score  (On 30/06/2026)
Rating
FIDA
Rating
ESG
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Static data
Name
THEAM QUANT Alpha Commodity C EUR RH
Typology
Funds and Sicav
ISIN Code
LU2526007799
Sicav
THEAM QUANT
Registration country
-
Country authorised for sale
Asset manager
Address
1 Boulevard Haussmann 75009 Paris
Phone
Web site
FIDA Category
-
Assogestioni category
EFAMA Category
ARIS Commodities
Priips
Yes
Official benchmark
-
Start Date placement
21/10/2022
Search by currency
Usd - us dollar
Quotation currency
Eur - euro
Status
Active
Distribution policy
No
Total asset value at -
-
Documentation
Quotation evolution (From 28/07/2023 On 29/07/2026)
97.88
4.11
%
29/07/2026
Loading data
Quote
Quotation currency
Eur - euro
Quotation frequency
Daily
Last quotation
€97.88 (29/07/2026)
% change
+0.37%
Last Price in Euro
€97.88
Investment Objective
The objective of the Sub-fund is to increase the value of its assets over the medium term, through the use of quantitative investment strategies across the commodity markets, excluding the agricultural and livestock commodities sector.In order to achieve its investment objective, the Sub-fund implements a strategy (the Strategy) allocating its assets between different sub-strategies by identifying single sources of return coming from market opportunities or inefficiencies across the commodity markets sector, excluding the agricultural and livestock commodities sector, within a balanced risk-adjusted portfolio. The Sub-fund may in particular be exposed to term structure, momentum, relative value, listed option- based and long-short strategies via financial indices.The weights allocated monthly to the sub-strategies through financial indices are such as the contribution of each of these financial indices to the overall risk is identical, aiming for a risk balanced portfolio. The Strategy is two-times leveraged, meaning that the overall sum of the weights allocated to the financial indices is set monthly to 2.Further information on such indices, their composition, calculation and rules for monitoring and periodic rebalancing, can be found at: https://docfinder.bnpparibas-am.com/api/files/dce4be0a-f58f-4a1c-8939-e8f5bac0b9cd.The Strategy of the Sub-fund is deemed active. The Sub-fund does not have any benchmark for performance comparison purpose.The Strategy will be implemented according to a Synthetic Replication Policy, through the conclusion of OTC Derivatives.Investors are able to subscribe or redeem any day on which the New York and London stock exchanges are open during the whole day (excluding Saturdays and Sundays and Luxembourg and French public holidays).Subscription and redemption requests can be made to the administrative agent before 12.00 pm CET on the relevant valuation day. Administrative agent: BNP Paribas, Luxembourg Branch, 60 avenue J.F. Kennedy, L-1
Tax system
PIR compliant
No
PEA compliant
No
PEA-PME compliant
No
Company registry
Asset manager
Phone
Web site
Address
1 Boulevard Haussmann 75009 Paris
The data and information covered by the Service are for the exclusive internal use of the User and may neither be transferred to third parties, nor circulated, disclosed or allowed to be disclosed, nor used on external information systems, without the written consent of FIDA and, when necessary, of the information sources.
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