MFS Meridian Funds - Prudent Capital Fund W1 EUR

Registrati per vedere i rating
Storico dei rendimenti31/03/2024
Crescita di 1000 (EUR) Grafico Interattivo
MFS Meridian Funds - Prudent Capital Fund W1 EUR
Fondo2,29,5-8,012,14,3
+/-Cat.3,6-6,00,55,5-1,4
+/-Ind.--6,2-0,32,2-1,9
 
Sintesi
NAV
30/04/2024
 EUR 14,960
Var.Ultima Quotazione -0,20%
Categoria Morningstar™ Bilanciati Moderati USD
Categoria Assogestioni -
Isin LU1761538575
Fund Size (Mil)
30/04/2024
 USD 3110,61
Share Class Size (Mil)
31/03/2024
 USD 93,51
Entrata (max) -
Spese correnti
15/12/2023
  0,92%
Morningstar Research
Analyst Report07/12/2023
Francesco Paganelli, Senior Analyst
Morningstar, Inc

MFS Meridian Prudent Capital is led by a strong group of portfolio managers with access to a vast research platform. The strategy’s robust process plays to the group’s strengths and adds to its appeal. One share class earns a Morningstar Analyst...

Clicca qui per leggere l'analisi
Pilastri Morningstar
Persone25
Società24
Processo24
Performance
Costi
Obiettivo d'Investimento Dichiarato: MFS Meridian Funds - Prudent Capital Fund W1 EUR
The Fund’s objective is capital appreciation, measured in U.S. dollars. The Investment Manager normally invests the Fund’s assets across different asset classes, including an allocation to equity securities and an allocation to debt instruments and cash-equivalents (defined as bank deposits, money market instruments, units of money market funds and reverse repurchase transactions), based on its view of the relative value of different types of securities and/or other market conditions. The Investment Manager expects the Fund’s allocations among asset classes will normally fall within the following ranges: 50% to 90% in equity securities, and 10% to 50% in debt instruments and cash-equivalents. However, the Fund may invest outside of these ranges and its exposure to these asset classes may vary significantly from time to time. The Investment Manager seeks to reduce the volatility of the Fund’s returns relative to the global equity markets, as represented by the MSCI World Index (USD).
Rendimenti % (EUR)
Rendimenti % (EUR)30/04/2024
YTD3,17
3-Anni Ann.ti4,66
5-Anni Ann.ti4,63
10-Anni Ann.ti-
Gestione
Nome del Gestore
Inizio Gestione
David Cole
03/11/2016
Edward Dearing
01/03/2018
Click here to see others
Data di Partenza
16/02/2018
Pubblicità
Indice
Benchmark DichiaratoIndice di Categoria Morningstar
MSCI World NR USDMorningstar EAA USD Mod Tgt Alloc NR USD
Target Market
Role In Portfolio
Standalone / CoreNon specifico
ComponentNon specifico
AltroNon specifico
Primary Objective
ConservazioneNon specifico
GrowthSi
RedditoNon specifico
HedgingNon specifico
AltroNon specifico
Composizione del Fondo  MFS Meridian Funds - Prudent Capital Fund W1 EUR31/03/2024
Morningstar Style Box®
Stile Azionario
Morningstar Style Box®
Reddito Fisso
Asset Allocation
  % Lunga% Corta% Netta
Azioni51,673,2948,38
Obbligazioni35,250,0035,25
Liquidità35,8022,5113,29
Altro3,080,003,08
Reddito Fisso
Maturity effettiva2,57
Duration Effettiva1,70
Prime 5 Regioni%
Europa Occidentale - Euro52,30
Stati Uniti21,51
Giappone9,12
Asia - Paesi Sviluppati5,32
Europa Occidentale - Non Euro5,16
Primi 5 Settori%
Beni di consumo ciclici16,38
Beni industriali15,89
Tecnologia15,55
Finanza12,14
Immobiliare11,57
Primi 5 TitoliSettore%
United States Treasury Notes 3%4,01
United States Treasury Notes 4.25%3,94
United States Treasury Notes 4.25%3,52
United States Treasury Bonds 2.38%3,11
United States Treasury Notes 0.13%3,08
MFS Meridian Funds - Prudent Capital Fund W1 EUR

Related

Per garantire coerenza tra i dati forniti da differenti società di gestione, i data point calcolati e presentati sono generati usando una metodologia di calcolo proprietaria di Morningstar, che è illustrata nei dettagli al seguente link(https://www.morningstar.com/research/signature)
© Copyright 2024 Morningstar, Inc. Tutti i diritti sono riservati.

Termini&Condizioni        Privacy        Cookie Settings        Disclosures