1ST Sicav Hestia Conservative R EUR

Rating e Score  (Al 30/06/2026)
Rating
FIDA
Rating
ESG
Categoria FIDA
***Alcune funzioni non sono disponibili in questa versione.***
Registrati gratuitamente per sbloccare le funzioni
Anagrafica
Nome
1ST Sicav Hestia Conservative R EUR
Tipologia
Fondi e Sicav
Codice Isin
LU1435778565
Sicav
1ST Sicav
Domicilio
-
Paese autorizzato alla vendita
Società di gestione
Indirizzo
AVENUE DE LA GARE 16 1610 Luxembourg
Telefono
Sito WEB
Categoria FIDA
Categoria Assogestioni
Categoria EFAMA
Flexible Bond
PRIIPS
Benchmark ufficiale
0,00% - non previsto
Data inizio collocamento
29/06/2017
Valuta di denominazione
EUR - Euro
Valuta di quotazione
EUR - Euro
Stato
Quotato
Distribuzione dei proventi
No
Patrimonio al 29/05/2026
-
Patrimonio Comparto al 29/05/2026
12,14 mln EUR
Documentazione
Andamento della quotazione (Dal 07/07/2023 Al 09/07/2026)
124,23
31,06
%
09/07/2026
Caricamento dati
Quota
Valuta di quotazione
EUR - Euro
Frequenza di quotazione
Giornaliero
Ultima quotazione
124,23 € (09/07/2026)
Variazione %
+0,19%
Ultima quotazione in euro
124,23 €
Obiettivo di investimento
Objectives The Fund shall be managed with the objective to obtain capital growth by investing in a diversified range of debt securities of any kind, such as government bonds, investment grade bonds, high yield bonds, convertible bonds, floating rate notes, Inflation-Linked Bonds/Notes, money market instruments, issued or guaranteed by sovereign, supranational or corporate issuers, denominated in the reference currency or any other currencies. To achieve this objective, the Fund may invest: - a maximum of 50 % in liquid equities listed in the main stock exchange markets; -a maximum of 100 % of the Funds assets may be invested in Bonds including investments in Debt Securities: a) 70% of the bond investments will be done in bonds, convertible bonds, including fixed or floating rates, zero-coupons, government, or corporate bonds with a minimum rating from Moody's and/or Standard & Poors (B3-B-) issued from OECD issuers; b) 30% of the bond investments will be done in bonds, convertible bonds, including fixed or floating rates, zero-coupons, government, treasury or corporate bonds issued by non-OECD issuers and/or not rated bonds; - in UCITS and/or other UCIs (including "ETFs qualifying as UCITS and/or UCIs") which will be domiciled in the EU (and after Brexit also in in the UK); - from 0% to 100% in UCITS and/or UCIs as described above. The investment in commodities will be indirect. The underlying UCITS and other UCIs may be denominated in other currencies than the Reference Currency. Direct investments in Chinese equities are not foreseen. The maximum proportion of assets that may on average be subject to SFTs and TRSs will not exceed 25% of the net assets of the Fund. The Sub-Fund may, in accordance with the Fund's investment restrictions, purchase or sell put and call options, financial futures and forward contracts, on financial indices, foreign currencies and transferable securities for hedging purposes and/or speculative purposes. The Fund is actively managed a
Regime fiscale
PIR compliant
No
PEA compliant
No
PEA-PME compliant
No
Anagrafica società
Società di gestione
Telefono
Sito WEB
Indirizzo
AVENUE DE LA GARE 16 1610 Luxembourg
I dati e le informazioni oggetto del Servizio sono ad esclusivo uso interno dell’Utente e non possono essere né trasferiti a terzi, né fatti circolare, divulgati o lasciati divulgare, né utilizzati su sistemi informativi esterni, senza il consenso scritto di FIDA e, quando necessario, delle fonti di informazione.
Logo FIDA