Globersel Pactum Natural Resources Classe B


Main information
Fund Name
Globersel Pactum Natural Resources Class B
Equity fund investing in natural resources
Legal structure
Luxembourg umbrella mutual fund
Investment policy
The Fund seeks to maximise capital growth. In order to achieve the above said aims, the Fund invests mainly in shares of companies active in natural resources and related sectors through direct investments or derivative instruments. The Fund may also use derivatives to create short positions. The Fund may invest in instruments denominated in currencies other than the Euro. The Fund may invest, on a residual basis, in money market instruments with duration of less than 12 months and hold liquid assets, including bank deposits. The Fund's investment decisions are made on a discretionary basis. In order to achieve the above aims, the Fund can use derivatives such as forward exchange transactions, futures, options, swaps and contracts for difference. Any income received by the Fund is reinvested. The Fund's value is calculated and expressed in Euros. The investor can buy or sell shares of the Fund on a daily (full bank business days) basis. Risk and
5 (da 1 a 7)
Inception date
Quote Value at 2019.02.20
Patrimon Value at 2019.02.20
Legal information
Depository Bank
CACEIS Bank, Luxembourg branch
Audit firm
Ernst &Young S.A.
How to subscribe it
The Funds managed by Ersel Gestion Internationale S.A. can be subscribed by sending an order to the Transfer Agent and Custodian Bank of the Fund. Investor Services Team: - Email address: - Phone number: 00 352 47 67 59 99 - Fax number: 00 352 47 67 70 37 - Business hours: 9 a.m. to 6 p.m. CET - Languages??: Inglese, French, Spanish, Italian, German, Dutch For institutional investors the orders can also be transmitted through the following distributors: Allfunds Bank, Mfex, Fund Channel.
NAV calculation frequency
Fund units publication
Fund Ticker
ISIN code
Entry charge
Exit charge
Maximum Management fees
Performance fee
20% calculated based on the High Water Mark (the highest net asset value per share recorded at month-end) over the preceeding 12 months, net of management fees.