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Pioneer Funds European Eq Target Inc A Dis SA EUR

Rang 40 von 49 in - Aktien - Europa Dividenden über 12 Monate
All calculations are in EUR unless stated

Verwaltet von

Karl Huber

Karl Huber was born in Weilheim in Oberbayern, Germany in 1967. He graduated from the Ludwig-Maximilians-University of Munich with a degree in business economics, and also holds the business administration ‘Diplom Kaufmann’. Karl is presently responsible for German equities at Pioneer Investments and runs the Pioneer Investments German Equity fund. He is also part of the European small & mid cap team. Karl joined Pioneer Investments Munich office in 1999 as a senior automotive and industrial goods & services analyst. In 2003, he took over responsibility for the management of European equity funds. In 2006, he became a member of the Pioneer/Activest Integration Team and was responsible for the integration of German investments (Activest). Prior to joining Pioneer Investments/Activest, Karl worked with BayernLB as an equity analyst, and before this he worked as an analyst with Fiduka Depotverwaltungs GmbH. Outside of fund management he enjoys tennis and skiing.

Anlageziel

This Sub-Fund seeks to invest primarily in a diversified portfolio of equities and equity-linked instruments issued by companies incorporated, headquartered or having their principal business activities in Europe and which offer higher than average dividend prospects. The Sub-Fund will invest at least 75% in equities and equity-linked instruments issued by companies having their head office in the EU. The Sub-Fund may also invest up to 20% of its assets in any type of debt and debt-related instruments issued by both governmental and non-governmental issuers.

Performance

Aktien - Europa Dividenden über : 31.10.2016 - 31.10.2017

Gesamtertrag

Auf das Jahr Quartalsperformance

bis 29.09.2017 Jährlich Q1 Q2 Q3 Q4
2017 4,0% 0,2% 0,8%
2016 -1,8% -8,2% -1,0% 2,9% 4,9%
2015 7,3% 13,7% -3,4% -5,3% 3,1%
2014 5,4% 2,3% 3,4% -1,3% 1,0%
2013 23,5% 3,9% 3,0% 8,7% 6,2%
2012 11,7% 4,8% -0,9% 3,8% 3,6%

Monatliche Performance

Rendite vs Risiko

Zum Verkauf zugelassen in

  1. Österreich
  2. Bulgarien
  3. Tschechien
  4. Finnland
  5. Frankreich
  6. Deutschland
  7. Griechenland
  8. Ungarn
  9. Irland
  10. Luxemburg
  11. Niederlande
  12. Portugal
  13. Singapur
  14. Slowakei
  15. Spanien
  16. Schweden
  17. Schweiz

Information über den Fonds

  • Starttermin23.11.2011
  • Größe der Anteilsklasse906Mn
  • BasiswährungEUR
  • ISIN LU0701926320

Kaufinformation

  • Mindestanlage (initial)1
  • Mindest regelmäßige Zusatzinvestition0

Gebühren

  • Jährliche Verwaltungsgebühr1,50%

Performance bezieht sich auf die gezeigte Laufzeit (Monatsende bis Monatsende, Angebotspreis/Angebotspreis, Brutto-Erträge reinvestiert, in angezeigter Währung/angezeigten Währungen berechnet)