Gesiuris Patrimonial FI – Class C

Gesiuris Patrimonial FI has a Global Investment policy. Its management method corresponds to what is classified as Flexible Mixed.

It invests in equities, fixed income and monetary assets, although the main source of value is equities. Investments are mainly in large-cap companies with high solvency. Cash investments are complemented by derivative positions.

Under normal conditions, equity exposure is between 40% and 80% of the Fund’s assets and is adjusted according to market conditions and asset valuations.

The Fund has a Class A unit class intended for the general public and a Class C unit class intended for unitholders subscribing to units under a Discretionary Portfolio Management or independent advisory contract, as well as other CIS of the Asset Management Company’s own group.

Fondos Gesirius

Net Asset Value Evolution

(Base 100)

* The performance shown is net of fees.

Last Net Asset Value:

Returns

YTD *
6 MONTHS
1 YEAR
3 YEARS
5 YEARS
10 YEARS
RET. SINCE INC.
APR (SINCE INC.)
* Return generated in the current year (since January 1st)

Fund Manager

Jordi Viladot Pou

Fund Details

Legal formSpanish Mutual Fund (UCITS)
DepositaryCaceis Bank Spain S.A.
Denomination currencyEuro
ISIN codeES0116845001
AuditorDeloitte, S.L.
CNMV reg. number2670
Date of incorporation04/10/2024

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