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UCITS

ADBK SICAV

ISIN FONDS CLASS DATE NAV Devise NAV 2024 YTD PRIIP FACT SFDR FICHIERS COMMUNS
Articles of Incorporation Prospectus Audited Annual Unaudited Semi-Annual
LU0084323251 Global Asset Allocation A 24/07/2025 799,7300 EUR 801,3000 -0,196 %
LU1319567621 Global Medium Asset Allocation A 24/07/2025 112,8000 EUR 110,6000 1,989 %
LU1535894882 Global Dynamic Asset Allocation A 24/07/2025 115,3100 EUR 114,3700 0,822 %

ATHENEE FCP

ISIN FONDS CLASS DATE NAV Devise NAV 2024 YTD PRIIP FACT SFDR FICHIERS COMMUNS
Articles of Incorporation Prospectus Audited Annual Unaudited Semi-Annual
LU1628858711 Birdie A 14/07/2025 118,7500 EUR 116,9400 1,548 %
LU1914934192 Butterfly A 21/07/2025 123,4600 EUR 126,1900 -2,163 %
LU2451275023 Magnet Finance A 14/07/2025 108,5300 EUR 109,9600 -1,300 %
LU2451274059 Global Equity A 22/07/2025 11,2800 USD 11,1700 0,985 %
LU2451274307 Global Equity B - EUR - -  %
LU2748242042 Acacia Renta Dinamica R 22/07/2025 104,8500 EUR 102,6400 2,153 %
LU2748242125 Acacia Renta Dinamica I 22/07/2025 105,2400 EUR 102,8200 2,354 %
LU2870351280 Global Strategy FA1 22/07/2025 93,4800 EUR 95,7300 -2,350 %
LU2870351363 Global Strategy R 22/07/2025 95,4300 EUR - -  %
LU2870351447 Global Strategy I - EUR - -  %

Bisonte SICAV

ISIN FONDS CLASS DATE NAV Devise NAV 2024 YTD PRIIP FACT SFDR FICHIERS COMMUNS
Articles of Incorporation Prospectus Audited Annual Unaudited Semi-Annual
LU1731834617 Multi Value Allocation A Cap 18/07/2025 120,3300 EUR 119,0100 1,109 %
ISIN FONDS CLASS DATE NAV Devise NAV 2024 YTD PRIIP FACT SFDR FICHIERS COMMUNS
Articles of Incorporation Prospectus Audited Annual Unaudited Semi-Annual
LU1953238794 EC SICAV-EV.C.I. A.UCITS I-RETAIL EUR ACC R 23/07/2025 140,9700 EUR 139,3800 1,141 %
LU1953238877 EC SICAV-EV.C.I.A.UCI I- INSTITUTIONAL I EUR I 23/07/2025 144,5100 EUR 142,6800 1,283 %
LU1953238950 EC SICAV-EV.C.I.A.UCI I-INSTITUTIONAL II EUR II 23/07/2025 136,1000 EUR 134,2600 1,370 %
LU1953239099 EC SICAV-EV.C.I.A.UCITS I-FOUNDER EUR ACC F 23/07/2025 161,8300 EUR 158,6300 2,017 %
LU2215091617 Nocity Fixed Income A 21/07/2025 101,0200 EUR 109,6900 -7,904 %

GOLDEN HIND

ISIN FONDS CLASS DATE NAV Devise NAV 2024 YTD PRIIP FACT SFDR FICHIERS COMMUNS
Articles of Incorporation Prospectus Audited Annual Unaudited Semi-Annual
LU0778115674 Investec Multi Asset Cautious A 23/07/2025 141,8400 USD 130,7500 8,482 %
LU0778115914 Investec Multi Asset Balanced A 23/07/2025 176,2100 USD 158,3100 11,307 %
LU0778116219 Investec Multi Asset Dynamic A 23/07/2025 208,5700 USD 186,0400 12,110 %
LU1649247001 Private Life Moderate A 23/07/2025 125,8300 USD 119,2000 5,562 %
LU2324319545 Prudent Opportunities A 23/07/2025 119,1300 USD 109,2400 9,053 %
LU2324319628 Prudent Opportunities F 23/07/2025 117,2000 USD 107,7100 8,811 %
LU2330518452 Investec Global Trends A 23/07/2025 109,5200 USD 94,6900 15,662 %
LU2538427092 Investec Multi Asset Cautious C 23/07/2025 120,8900 USD 111,7800 8,150 %
LU2538427175 Investec Multi Asset Balanced C 23/07/2025 126,5100 USD 114,0000 10,974 %
LU2538427258 Investec Multi Asset Dynamic C 23/07/2025 131,7400 USD 117,8600 11,777 %
LU2716765578 Global Fixed Income Portoflio A 23/07/2025 106,3900 USD 103,4300 2,862 %
LU2716765495 Global Fixed Income Portfolio C 23/07/2025 104,7000 USD 102,1200 2,526 %
LU2716765222 Global Fixed Income Portfolio I 23/07/2025 105,9500 USD 102,7300 3,134 %
LU0778115831 Investec Multi Asset Cautious I 23/07/2025 111,7200 USD 102,7000 8,783 %
LU0778116136 Investec Multi Asset Balanced I 23/07/2025 115,0600 USD 103,0000 11,709 %
LU0778116482 Investec Multi Asset Dynamic I 23/07/2025 116,9500 USD 103,8500 12,614 %

HALLEY SICAV

ISIN FONDS CLASS DATE NAV Devise NAV 2024 YTD PRIIP FACT SFDR FICHIERS COMMUNS
Articles of Incorporation Prospectus Audited Annual Unaudited Semi-Annual
LU0908524779 Alinea Global A 23/07/2025 103,4100 EUR 99,0100 4,444 %
LU0908524852 Alinea Global B 23/07/2025 99,1400 EUR 94,9700 4,391 %
LU0908524936 Alinea Global I 23/07/2025 110,2500 EUR 105,3500 4,651 %
LU3025211312 ZENITH A 21/07/2025 101,4000 EUR - -  %
LU2362696556 International Diversified Portfolio R 23/07/2025 96,9600 EUR 98,5200 -1,583 %
LU2445116945 La PLETA A 23/07/2025 116,4400 EUR 115,9300 0,440 %
LU2926252862 Alinea Global A2 23/07/2025 104,3600 EUR 99,7500 4,622 %
LU2926252946 Mixed Allocation A 23/07/2025 101,7600 EUR - -  %
ISIN FONDS CLASS DATE NAV Devise NAV 2024 YTD PRIIP FACT SFDR FICHIERS COMMUNS
Articles of Incorporation Prospectus Audited Annual Unaudited Semi-Annual
LU1808319914 Tikehau Strategic Focus High Yield Fund B1 25/06/2025 70,7800 USD 77,1800 -8,292 %
LU1808320177 Tikehau Strategic Focus High Yield Fund C1 23/07/2025 64,6700 GBP 71,4500 -9,489 %
LU1808320250 Tikehau Strategic Focus High Yield Fund D1 23/07/2025 119,1100 USD 124,9900 -4,704 %
LU2012067315 Tikehau Strategic Focus High Yield Fund 23/07/2025 86,0000 USD 94,6200 -9,110 %

MERCHBANC FCP

ISIN FONDS CLASS DATE NAV Devise NAV 2024 YTD PRIIP FACT SFDR FICHIERS COMMUNS
Articles of Incorporation Prospectus Audited Annual Unaudited Semi-Annual
LU2222027877 Merchfondo A 23/07/2025 93,9809 EUR 84,9610 10,617 %
LU2222027950 Merchfondo B 23/07/2025 110,8510 USD 89,2310 24,229 %
LU2222028099 Renta fija flexible A 23/07/2025 116,2270 EUR 113,2650 2,615 %
LU2222028172 Merch-Universal A 23/07/2025 112,9400 EUR 110,6950 2,028 %

OPTIMIZE SICAV

ISIN FONDS CLASS DATE NAV Devise NAV 2024 YTD PRIIP FACT SFDR FICHIERS COMMUNS
Articles of Incorporation Prospectus Audited Annual Unaudited Semi-Annual
LU2215410650 OPTIMIZE SICAV - EUROPE VALUE A EUR A 23/07/2025 1.576,3240 EUR 1.483,9121 6,228 %
LU2215411039 OPTIMIZE SICAV - GLOBAL FLEXIBLE A EUR A 23/07/2025 22,5014 EUR 23,5366 -4,398 %
LU2215411468 OPTIMIZE SICAV - GLOBAL BOND A EUR A 23/07/2025 14,2053 EUR 14,2759 -0,495 %
LU2215411971 OPTIMIZE SICAV - INVEST SELECTION A EUR A 23/07/2025 95,7231 EUR 98,8972 -3,209 %
LU2391406373 Optimize Invest Selection I 23/07/2025 96,1241 EUR 99,3118 -3,210 %

RAINBOW FUND

ISIN FONDS CLASS DATE NAV Devise NAV 2024 YTD PRIIP FACT SFDR FICHIERS COMMUNS
Articles of Incorporation Prospectus Audited Annual Unaudited Semi-Annual
LU0065943366 Emerging Market Equities Acc 15/07/2025 204,1000 EUR 198,5100 2,816 %
LU0201732111 Balanced Portfolio 3 Acc 15/07/2025 22,8600 EUR 20,5500 11,241 %
LU1406961968 Rainbow Flexible Allocation Acc 15/07/2025 153,0500 EUR 146,6500 4,364 %
LU1732799652 Rainbow Flexible Allocation B 15/07/2025 141,6800 EUR 136,1900 4,031 %
LU2402459734 Emerging Market Equities B 15/07/2025 110,1400 EUR 107,0200 2,915 %
LU2402459817 Balanced Portfolio 3 B 15/07/2025 124,7900 EUR 111,9700 11,449 %
LU2513931175 Diversified Market Opportunities A 21/07/2025 122,6100 EUR 114,3100 7,261 %
LU2513931415 Dynamic Mixed Allocation A 23/07/2025 116,6300 EUR 109,8000 6,220 %
LU2513931845 Global Strategy FA1 15/07/2025 110,6800 EUR 109,2500 1,309 %
LU2513931928 Global Strategy R 15/07/2025 107,8300 EUR 107,2400 0,550 %
LU2513932066 Global Strategy I - EUR - -  %
LU2646195995 International Mixed Portfolio A 23/07/2025 110,4000 EUR 108,6300 1,629 %

SIGMA INVESTMENT HOUSE FCP

ISIN FONDS CLASS DATE NAV Devise NAV 2024 YTD PRIIP FACT SFDR FICHIERS COMMUNS
Articles of Incorporation Prospectus Audited Annual Unaudited Semi-Annual
LU0447425785 Short Mid-Term EUR A 23/07/2025 106,3600 EUR 105,0800 1,218 %
LU0842066523 Balanced A 23/07/2025 137,7500 EUR 140,6300 -2,048 %
LU0942882589 BrightGate Global Income Fund A 23/07/2025 153,7000 EUR 149,6200 2,727 %
LU0986194024 Equity Europe A 23/07/2025 132,6700 EUR 122,7600 8,073 %
LU1066281574 Equity Spain A 23/07/2025 116,3600 EUR 99,0200 17,512 %
LU1091599057 Short Mid-Term EUR B 23/07/2025 103,3300 EUR 102,0600 1,244 %
LU1116260818 Balanced B 23/07/2025 135,3900 EUR 137,7100 -1,685 %
LU1171801233 Balanced P 23/07/2025 140,1300 EUR 141,9000 -1,247 %
LU1171803106 Equity Spain I 23/07/2025 143,0700 EUR 120,9400 18,298 %
LU1697013008 USD Flexible Fixed Income A - USD 113,2400 -  %
LU1697016019 Selection Aggressive A 23/07/2025 13,2644 EUR 12,5677 5,544 %
LU1697016365 Selection Defensive A 23/07/2025 10,2705 EUR 10,1243 1,444 %
LU1697016878 Selection Conservative A 23/07/2025 10,9572 EUR 10,6479 2,905 %
LU1697017256 Selection Moderate A 23/07/2025 11,6525 EUR 11,1808 4,219 %
LU1697017686 Selection Dynamic A 23/07/2025 12,5101 EUR 11,8683 5,408 %
LU1697018064 Best Morgan Stanley A 23/07/2025 1,1082 EUR 1,1681 -5,130 %
LU1697018494 Best JP Morgan A 23/07/2025 1,1661 EUR 1,1460 1,754 %
LU1697018817 Best Carmignac A 23/07/2025 1,1974 EUR 1,1714 2,220 %
LU1899018870 Best M&G A 23/07/2025 1,1164 EUR 1,1006 1,436 %
LU1899018953 Best Blackrock A 23/07/2025 1,1581 EUR 1,1480 0,880 %
LU1899019175 Smart Horizon A 23/07/2025 117,4000 EUR 112,3600 4,486 %
LU1984948874 BrightGate Global Income Fund F 23/07/2025 133,3900 EUR 129,9600 2,639 %
LU2231194924 Smart Horizon C 23/07/2025 108,9700 USD 92,0900 18,330 %
LU2375689580 Global Equity A 23/07/2025 124,7900 EUR 124,4800 0,249 %
LU2375689663 Gobal Equity B 23/07/2025 130,5700 EUR 129,4100 0,896 %
LU2375689747 Global Equity E 23/07/2025 124,7700 USD 111,0100 12,395 %
LU2465956238 Equity Europe D 23/07/2025 101,2100 EUR 92,9700 8,863 %

THE INDEPENDENT UCITS PLATFORM

ISIN FONDS CLASS DATE NAV Devise NAV 2024 YTD PRIIP FACT SFDR FICHIERS COMMUNS
Articles of Incorporation Prospectus Audited Annual Unaudited Semi-Annual
LU2261203512 Zennor Japan Fund I 24/07/2025 23.965,2200 JPY 21.150,7583 13,307 %
LU2261203603 Zennor Japan Fund F 17/06/2025 19.093,2500 JPY 17.617,9479 8,374 %
LU2261203785 Zennor Japan Fund F 24/07/2025 167,1040 EUR 155,5169 7,451 %
LU2261203942 Zennor Japan Fund F 24/07/2025 176,9697 GBP 157,5751 12,308 %
LU2321459435 Zennor Japan Fund I 24/07/2025 155,3943 GBP 138,5653 12,145 %
LU2338070795 Zennor Japan Fund F - USD 135,0959 -100,000 %
LU2394143205 Zennor Japan Fund I 24/07/2025 151,1165 EUR 140,9135 7,241 %
LU2427474296 Zennor Japan Fund I 24/07/2025 148,4124 USD 122,3207 21,331 %
LU2649499477 Zennor Japan Fund R 24/07/2025 131,9472 EUR 123,5435 6,802 %
LU2708705897 Zennor Japan Fund R 24/07/2025 13.241,9100 JPY 11.731,0736 12,879 %
LU2720096945 Zennor Japan Fund P 24/07/2025 123,7244 GBP 110,4024 12,067 %
LU2715325044 Zennor Japan Fund P 24/07/2025 129,2761 USD 106,6059 21,265 %
LU2791988327 Zennor Japan Fund P 24/07/2025 102,1398 EUR - -  %

VALENTUM FCP

ISIN FONDS CLASS DATE NAV Devise NAV 2024 YTD PRIIP FACT SFDR FICHIERS COMMUNS
Articles of Incorporation Prospectus Audited Annual Unaudited Semi-Annual
LU2525865122 Flagship A 23/07/2025 119,8000 EUR 99,1500 20,827 %
LU2525865395 Flagship FA1 23/07/2025 119,4700 EUR 98,6300 21,129 %
LU2905445560 Flagship I 23/07/2025 110,6500 EUR 91,3700 21,101 %

VALUE TREE UMBRELLA SICAV

ISIN FONDS CLASS DATE NAV Devise NAV 2024 YTD PRIIP FACT SFDR FICHIERS COMMUNS
Articles of Incorporation Prospectus Audited Annual Unaudited Semi-Annual
LU1453542349 Value Tree Defensive C 23/07/2025 10,4316 EUR 10,2723 1,551 %
LU1453542695 Value Tree Balanced C 23/07/2025 11,4570 EUR 11,2388 1,941 %
LU1453542851 Value Tree Dynamic C 23/07/2025 12,1169 EUR 11,9238 1,619 %
LU1453543073 Value Tree European Equities C 24/07/2025 14,5194 EUR 13,1998 9,998 %

VIVACITY FUNDS

ISIN FONDS CLASS DATE NAV Devise NAV 2024 YTD PRIIP FACT SFDR FICHIERS COMMUNS
Articles of Incorporation Prospectus Audited Annual Unaudited Semi-Annual
LU0780567466 VFF Global Capital A Cap 23/07/2025 138,6500 EUR 139,7600 -0,794 %
LU1003292809 Multimanager Allocation Patrimoine A Cap 23/07/2025 119,2700 EUR 118,5300 0,624 %
LU1003295067 Multi Manager Allocation Patrimoine B 23/07/2025 120,9300 EUR 119,8400 0,910 %
LU2435784934 VFF Global Capital B 23/07/2025 109,4400 EUR 110,0300 -0,536 %

MIRALTA SICAV

ISIN FONDS CLASS DATE NAV Devise NAV 2024 YTD PRIIP FACT SFDR FICHIERS COMMUNS
Articles of Incorporation Prospectus Audited Annual Unaudited Semi-Annual
LU2638558333 SEQUOIA A 23/07/2025 115,0500 EUR 112,2200 2,522 %
LU2638558416 SEQUOIA F 23/07/2025 121,6900 EUR 118,0800 3,057 %
LU2638558507 SEQUOIA C 23/07/2025 118,6800 EUR 115,5500 2,709 %

HAMCO SICAV

ISIN FONDS CLASS DATE NAV Devise NAV 2024 YTD PRIIP FACT SFDR FICHIERS COMMUNS
Articles of Incorporation Prospectus Audited Annual Unaudited Semi-Annual
LU3035950743 Quality Fund F - EUR - -  %
LU3035950826 Quality Fund I - EUR - -  %
LU3035951048 Quality Fund R - EUR - -  %
LU3035951121 Quality Fund E 22/07/2025 100,0040 EUR - -  %
LU3038481852 Global Value Fund E - EUR - -  %
LU3038481936 Global Value Fund R - EUR - -  %
LU3038482157 Global Value Fund F - EUR - -  %
LU3038482231 Global Value Fund I - EUR - -  %

SIF

ACTIVA SICAV

ISIN FONDS CLASS DATE NAV Devise NAV 2024 YTD PRIIP FACT SFDR FICHIERS COMMUNS
Articles of Incorporation Prospectus Audited Annual Unaudited Semi-Annual
LU0829544732 Activa Global Defensive Patrimony A 23/07/2025 175,5200 EUR 167,8500 4,570 %

ASTRA SICAV - SIF

ISIN FONDS CLASS DATE NAV Devise NAV 2024 YTD PRIIP FACT SFDR FICHIERS COMMUNS
Articles of Incorporation Prospectus Audited Annual Unaudited Semi-Annual
LU0525965132 Strauss A:Classic 21/07/2025 115,7000 EUR 114,1800 1,331 %
LU0528491797 Beethoven 21/07/2025 109,9300 EUR 109,8300 0,091 %
LU0528491870 Bach A:Classic 21/07/2025 105,7700 EUR 105,5200 0,237 %
LU0528493652 Deep Value A Cap 22/07/2025 123,0900 EUR 118,9400 3,489 %
LU0592288541 Adela A Cap 30/06/2025 116,4400 EUR 117,0500 -0,521 %
LU0597553584 Trisin A Cap 31/03/2025 177,2400 EUR 160,3000 10,568 %
LU0632177944 Moreta A Cap 21/07/2025 130,2900 EUR 130,2100 0,061 %
LU0697421575 Sequoia A Cap 17/07/2025 127,8000 EUR 124,4100 2,725 %
LU0697421658 Casildo A:Classic 21/07/2025 120,6200 EUR 117,4600 2,690 %
LU0710316596 Andromeda A:Classic 18/07/2025 155,0400 EUR 152,9900 1,340 %
LU0816461395 Momentum Opportunities A:Classic 21/07/2025 96,2100 EUR 92,9600 3,496 %
LU0876827493 Astra Strong A 31/03/2025 127,2700 EUR 127,9000 -0,493 %
LU0994527140 Covalis Capital Energy Fund 30/06/2025 277,8200 EUR 265,2700 4,731 %
LU2621351522 Atenea A 21/07/2025 111,3200 EUR 111,0800 0,216 %
LU2621351795 Sherwood A 21/07/2025 113,3300 EUR 116,0300 -2,327 %
LU2621351878 Georgetown A 21/07/2025 107,5200 EUR 107,5400 -0,019 %
LU2621351951 Market Feels A 21/07/2025 110,2600 EUR 109,5100 0,685 %
LU2621352090 Hyde Park A 21/07/2025 109,0700 EUR 108,6800 0,359 %
LU2621352173 Next Ideas A 30/06/2025 106,8700 EUR 106,8400 0,028 %

VESTA REAL ESTATE FEEDER FUND S.A. SICAV RAIF

ISIN FONDS CLASS DATE NAV Devise NAV 2024 YTD PRIIP FACT SFDR FICHIERS COMMUNS
Articles of Incorporation Prospectus Audited Annual Unaudited Semi-Annual
XFCS00X1JM81 VESTA Real Estate Feeder Fund S.A. SICAV-RAIF A - EUR - -  %

VESTA REAL ESTATE FUND S.A. SICAV-RAIF

ISIN FONDS CLASS DATE NAV Devise NAV 2024 YTD PRIIP FACT SFDR FICHIERS COMMUNS
Articles of Incorporation Prospectus Audited Annual Unaudited Semi-Annual
XFCS00X1JM65 VESTA Real Estate Fund S.A. SICAV-RAIF A - EUR - -  %

INDEPENDENT PLATFORM S.A. SICAV-RAIF

ISIN FONDS CLASS DATE NAV Devise NAV 2024 YTD PRIIP FACT SFDR FICHIERS COMMUNS
Articles of Incorporation Prospectus Audited Annual Unaudited Semi-Annual
LU2850662805 ZENNOR JAPAN SPECIAL SITUATIONS FUND A 15/07/2025 1.214.588,0000 EUR 1.079.202,0000 12,545 %