Carmignac Portfolio Patrimoine Europe is a sustainable, multi-asset UCITS fund invested in European bonds, equities (exposure up to 50%) and currencies. Its dynamic and flexible approach is designed to optimise asset allocation across varying market environments, seeking to capture attractive investment opportunities while maintaining resilience during periods of market stress. It aims to outperform its reference indicator1 over a minimum investment horizon of three years. The Fund promotes environmental and social characteristics, notably in investing at least 10% of its net assets in sustainable investments based on the framework of the United Nations Sustainable Development Goals (SDGs).
1 40% MSCI Europe NR index + 40% ICE BofA All Maturity All Euro Government index + 20% €STR Capitalized index. Quarterly rebalanced.
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