LFIS Vision UCITS Perspective Strategy IS Acc logo

LFIS Vision UCITS Perspective Strategy IS Acc (0P0001DX4T)

Market Closed
15 Jul, 20:00
XFRA XFRA
1,642. 20
-1.61
-0.0979%
- Market Cap
- Div Yield
0 Volume
1,643.81
Previous Close
Add Transaction
Day Range
1,642.2 1,642.2
Year Range
1,621.97 1,675.28
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Summary

0P0001DX4T closed Wednesday lower at €1,642.2, a decrease of -0.0979% from Tuesday's close, completing a monthly decrease of -1.5627% or -€26.07. Over the past 12 months, 0P0001DX4T stock gained 0.125%.
0P0001DX4T is not paying dividends to its shareholders.
The stock of the company had never split.
The company's stock is traded on one exchange.

0P0001DX4T Chart

LFIS Vision UCITS Perspective Strategy IS Acc (0P0001DX4T) FAQ

What is the stock price today?

The current price is €1,642.20.

On which exchange is it traded?

LFIS Vision UCITS Perspective Strategy IS Acc is listed on XFRA.

What is its stock symbol?

The ticker symbol is 0P0001DX4T.

Does it pay dividends? What is the current yield?

It does not pay dividends to its shareholders.

What is its market cap?

As of today, no market cap data is available.

Has LFIS Vision UCITS Perspective Strategy IS Acc ever had a stock split?

No, there has never been a stock split.

LFIS Vision UCITS Perspective Strategy IS Acc Profile

XFRA Exchange
Germany Country

Overview

The Sub-Fund aims to offer investors a unique investment strategy by seeking asymmetric exposure to the eurozone equity markets. This investment approach is designed to maximize returns from the eurozone's positive equity market trends while minimizing losses during negative trends. The Sub-Fund's objective is to capture two-thirds of the upward movements of the eurozone equity markets and limit its participation to one-third of the downward movements. This strategy is intended to provide investors with a more favorable risk-reward ratio, capitalizing on the growth potential of eurozone equities while offering a degree of protection against market downturns.

Products and Services

The Sub-Fund provides a singular financial product focused on the eurozone equity markets with the following characteristics:

  • Asymmetric Exposure: The core product is designed to achieve asymmetric exposure to the eurozone equity markets. This means the fund aims to gain more from the markets when they rise than it loses when they fall. This is achieved through a strategic allocation that seeks to capture approximately two-thirds of the market's upward trends while exposing the fund to only one-third of its downward trends.
  • Risk Management: An integral part of the Sub-Fund's service is its approach to risk management. By aiming to capture a lesser extent of the negative market trends compared to the positive ones, the Sub-Fund strives to protect investors from significant losses during market downturns. This risk management strategy is fundamental to its objective of providing an asymmetric return profile.

Contact Information

Address: 128 boulevard Raspail
Phone: 33 1 44 56 10 00