Dear partner,
We are pleased to inform you about the listing on our Amundi Funds Absolute Volatility Euro Equities – AE platform
This fund seeks total performance through a flexible exposure to the Euro zone’s stock market volatility.
Fund management target:
Over a recommended 3-year investment period, Amundi Funds Absolute Volatility Euro Equities - AE aims to achieve a performance of 7% gross per year in a controlled and supervised risk context. To achieve this target, the fund management team is exposed to Euro zone stock market volatility, positively when it is low and negatively when it is high.
Drawn up on: 13/11/2006
Recommended minimum investment period: 3 years
Performances:
YTD: -0.76% (on 20/10/2011)
2010: 7.12%
2009: 5.76%
2008: 22.58%
2007: 5.64%
Investment limit: 100%
Morningstar file