Calendar Year Performance 2015Calendar Year Performance 2016Calendar Year Performance 2017Calendar Year Performance 2018Calendar Year Performance 2019Calendar Year Performance 2020Calendar Year Performance 2021Calendar Year Performance 2022Calendar Year Performance 2023Calendar Year Performance 2024
Find out about historical performance, volatility and all the performance measures that will enable you to assess the Fund's past performance.
Carmignac Credit 2027 fund performance
Fund performance vs. reference indicator (basis 100 - net of fees)
Data as of: Sep 28, 2025.
Calendar Year Performance (as %)
Calendar Year Performance (as %)
Data as of: Sep 12, 2025.
Carmignac Credit 2027 - A EUR Acc
Carmignac Credit 2027 A EUR Acc
+2.8 %
+0.2 %
+1.0 %
+4.5 %
+22.9 %
-
-
Category Average
-
-
-
-
-
-
-
Ranking (quartile)
-
-
-
-
-
-
-
Source: Carmignac at 12/09/2025.
Statistics (%)
These measures are used to assess a Fund's risk-adjusted performance. A well-performing Fund should ideally have a solid return (measured by the Sharpe ratio and alpha) relative to its risk (measured by volatility), while being well aligned with market expectations (measured by beta relative to the reference indicator).
Volatility
Data as of: Aug 29, 2025.
Fund
+1.2 %
+3.2 %
+3.3 %
Calculation : Weekly basis
Ratio
Data as of: Aug 29, 2025.
Sharpe Ratio
+1.6 %
+1.3 %
+1.3 %
Beta
0.0 %
0.0 %
0.0 %
Alpha
0.0 %
0.0 %
0.0 %
Calculation : Weekly basis
Source: Carmignac at Aug 29, 2025.
Monthly Gross Performance Contribution
The contribution to performance demonstrates the different sources of returns. The sum of these elements is equal to the performance before the deduction of management fees applicable to the portfolio for the period in question. Fees payable for the period account for the difference between the gross performance and the net performance.
Monthly Gross Performance Contribution
Data as of: Aug 29, 2025.
Equity portfolio0 %
Bond Portfolio+0.2 %
Equity derivatives0 %
Bond derivatives0 %
Currency Derivatives+0.1 %
Mutual fund0.0 %
Total+0.3 %
Performance scenarios
The figures shown include all the costs of the product itself, but may not include all the costs that you pay to your advisor or distributor. The figures do not take into account your personal tax situation, which may also affect how much you get back. What you will get from this product depends on future market performance. Market developments in the future are uncertain and cannot be accurately predicted. The unfavourable, moderate, and favourable scenarios shown are illustrations using the worst, average, and best performance of the product over the last 10 years. Markets could develop very differently in the future. This table shows the money you could get back over the next 5 years, under different scenarios, assuming that you invest 10 000 €.
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