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Candriam Sustainable Equity Emerging Markets

Investing in the best earnings potential in the most promising emerging markets.

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Fund details

AUM - 04 JUL 2023
EUR 2.564.833.377,85
SFDR Category
Article 9
SFDR Category
Article 9
NAV change (daily)
+ 0.17%
Notation
Rate

Marketing Communication. Please refer to the fund's prospectus and the key investor information document before making any investment decision. These documents can be obtained free of charge.

Risk scale

Lower Risk Potentially lower return
Higher Risk Potentially higher return
1 2 3 4 5 6 7

Definition

The summary risk indicator («SRI») is an indicator with a rating ranging from 1 to 7 and corresponds to increasing levels of risk and return. The methodology for calculating this regulatory indicator is available in the KID The risk and reward profile is an indicator with a rating ranging from 1 to 7 and corresponds to increasing levels of risk and return. The summary risk indicator («SRI») is an indicator with a rating ranging from 1 to 7 and corresponds to increasing levels of risk and return. The methodology for calculating this regulatory indicator is available in the KID The risk and reward profile is an indicator with a rating ranging from 1 to 7 and corresponds to increasing levels of risk and return.

The summary risk indicator («SRI») is an indicator with a rating ranging from 1 to 7 and corresponds to increasing levels of risk and return. The methodology for calculating this regulatory indicator is available in the KID The risk and reward profile is an indicator with a rating ranging from 1 to 7 and corresponds to increasing levels of risk and return.

The summary risk indicator («SRI») is an indicator with a rating ranging from 1 to 7 and corresponds to increasing levels of risk and return. The methodology for calculating this regulatory indicator is available in the KID The risk and reward profile is an indicator with a rating ranging from 1 to 7 and corresponds to increasing levels of risk and return.

Evolution of the NAV

* This graph represents the synthetic net asset value of the fund. It is provided for information and illustrative purposes only. The synthetic net asset value is obtained by a recalculation of the values of the fund's assets by leveling out the effect of securities transactions (split, coupon, dividend distribution…) in order to reflect the real performance of the fund share or unit.

Actual Yield

Past performance is not a reliable indicator of future performances. Markets could develop very differently in the future.It can help you assess how the fund has been managed in the past.


This graph represents the synthetic net asset value of the fund. It is provided for information and illustrative purposes only. The synthetic net asset value is obtained by a recalculation of the values of the fund’s assets by leveling out the effect of securities transactions (split, coupon, dividend distribution…) in order to reflect the real performance of the fund share or unit.

  2014 2015 2016 2017 2018 2019 2020 2021 2022 2023
Classe d'actions 8,53 % 4,03 % 1,91 % 4,42 % -7,07 % 13,95 % 5,72 % 10,15 % -15,95 % 7,45 %
Indice de référence 11,37 % 4,55 % 5,06 % 5,50 % -3,91 % 15,08 % 3,77 % 11,37 % -11,96 % 11,65 %
Différence -2,84 % -0,53 % -3,14 % -1,09 % -3,16 % -1,13 % 1,96 % -1,22 % -3,99 % -4,20 %

Additional Information

The returns listed above are provided on the basis of the Net Asset Value (NAV), net of commissions and reinvested income. All management fees and commissions are included in the calculation of past performance except for any entry and exit charges. Taxes are not included in the calculation of returns. The value or price converted into euros may be reduced or increased depending on fluctuations in the exchange rate. The fund is not a guaranteed investment. The NAVs are net of fees and are provided by the accounting department and the benchmark by the official providers. Market developments (currency conversion, coupon, split, …) have an influence on the chart. This graph is provided for information purposes only and does not precisely illustrate the evolution of the fund's net assets. Data may be rounded for convenience. Data expressed in a currency other than that of the investor's country of residence is subject to exchange rate fluctuations, with a positive or negative impact. Gross performance may be impacted by commissions, fees and other expenses

Related News

Other important information

This is a marketing communication. Please refer to the prospectus of the funds and to the key information document before making any investment decision. This marketing communication does not constitute an offer to buy or sell financial instruments, nor does it represent an investment recommendation or confirm any kind of transaction, except where expressly agreed. Although Candriam selects carefully the data and sources within this document, errors or omissions cannot be excluded a priori. Candriam cannot be held liable for any direct or indirect losses as a result of the use of this document. The intellectual property rights of Candriam must be respected at all times, contents of this document may not be reproduced without prior written approval.Warning: Past performance of a given financial instrument or index or an investment service or strategy, or simulations of past performance, or forecasts of future performance does not predict future returns. Gross performances may be impacted by commissions, fees and other expenses. Performances expressed in a currency other than that of the investor's country of residence are subject to exchange rate fluctuations, with a negative or positive impact on gains. If the present document refers to a specific tax treatment, such information depends on the individual situation of each investor and may change.In respect to money market funds, please be aware that an investment in a fund is different from an investment in deposits and that the investment's principal is capable of fluctuation. The fund does not rely on external support for guaranteeing its liquidity or stabilizing its NAV per unit or share. The risk of loss of the principal is borne by the investor.Candriam consistently recommends investors to consult via our website https://www.candriam.com the key information document, prospectus, and all other relevant information prior to investing in one of our funds, including the net asset value (“NAV) of the funds. Investor rights and complaints procedure, are accessible on Candriam's dedicated regulatory webpages https://www.candriam.com/en/professional/legal-information/regulatory-information/. This information is available either in English or in local languages for each country where the fund's marketing is approved.According to the applicable laws and regulations, Candriam may decide to terminate the arrangements made for the marketing of a relevant fund at any time.Information on sustainability-related aspects: the information on sustainability-related aspects contained in this communication are available on Candriam webpage https://www.candriam.com/en/professional/sfdr/. The decision to invest in the promoted product should take into account all the characteristics or objectives of the promoted product as described in its prospectus, or in the information documents which are to be disclosed to investors in accordance with the applicable law.

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