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Quantex Global Value Fund EUR -R-

Since November 7, 2022, the total fund units of the Quantex Global Value Fund have been limited. Further information can be found on the homepage.

 

Client Profile

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Performance

Class Date NAV Previous Day YTD Facts KID
06.05.2024
276.01
0.5%
4.0%

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Performance table

Quantex Funds - Global Value (EUR) R Bloomberg World Net Return Index in EUR
May 24 -0.3% 1.7%
current year 4.0% 10.2%
1 year 10.2% 23.4%
3 years 29.4% 28.3%
5 years 117.1% 66.9%
since inception 176.0% 120.2%
  • Reference date: 6.5.2024
  • Inception date: 17.6.2015

Sectors


Regions


Info

Valor 27448111
ISIN LI0274481113
WKN A14VGZ
Management Fee 1.25% p.a.
Ongoing Costs (TER) 1.41% per 12/31/2023
Subscription / Redemption daily, until noon by the custodian bank
Inception Date 17. Juni 2015
Domicile Liechtenstein
Investor Type All Investors
Distribution Countries AT,CH,DE,LI
Tax Compliance AT,CH,DE
Asset Manager Quantex AG
Fund Management LLB Fund Services AG, Vaduz
Custodian Bank Liechtensteinische Landesbank AG, Vaduz
Auditor PricewaterhouseCoopers AG, St. Gallen
Contact