Main information

Fund name Leadersel Innotech ESG Class I
Benchmark 10% ICE BofA Euro Treasury Bill Index; 90% MSCI World net TR Index.
Category International equity fund
Legal structure Luxembourg umbrella mutual fund
Currency Euro

Investment policy

The Sub Fund Manager uses scientific and industrial analysis to identify companies developing innovative products and services that are more likely to disrupt a sector or change people habits and behaviors. Once identified, the Manager uses fundamental analysis to  select long and short investments mainly in equity; both equity securities and ETD or OTC derivatives (equity swap). The Fund integrates ESG (environmental, social, governance) criteria in the investment process, alongside financial criteria managed from a risk-return perspective. Material ESG issues are addressed and promoted through active ownership. A positive ESG screening is performed on individual instruments at the time of their acquisition. In addition, certain sectors, companies, products, or activities are restricted from the investment universe. In order to realize its investment strategy, the Fund will invest mainly in different classes of international transferable securities, mainly equities and derivatives on equities, and, on a residual basis, in bonds, money market instruments and other derivatives. In particular, the Fund will use listed derivatives (such as, for example, futures and options) and OTC derivatives (such as, for example, Contracts for Difference, Equity Swap or Total Return Swap) in order to realize the investment strategy of the Fund and to create long and short exposure. The underlying assets of the Total Return Swaps will mainly be equities. The Fund may also invest in ADR (American Depositary Receipts) or GDR (Global Depositary Receipt) on a tactical basis. Those ADR/GDR will not have derivative incorporated products. All bonds will be investment grade. In terms of geographical exposure, the Fund will invest mainly in developed markets (such as markets in countries belonging to the EU and the OECD).The balance may be invested in any instrument listed in the above paragraph, including emerging markets instruments. In such case, the Fund will invest only in securities listed on regulated markets. The Fund may hold cash, up to 10% of its net assets with the same credit institution and up to 20% with the Depositary Bank. The Fund may invest up to ten per cent (10%) of its net assets in UCITS or other UCI as referred to in art. 41, section 1, of the Law of 2010. The Fund may not invest more than 20% of its net assets in equities issued by companies listed in Hong Kong and Mainland China, including H shares, A shares and B shares, taking into account the risks associated with such investments described in the “Fund Investment Objectives and Policy”chapter of the prospectus. The Fund may use financial techniques and instruments in order to promote an efficient portfolio management, in accordance with the restrictions set forth in the “Financial techniques and instruments” chapter of the prospectus.

Investment object

This Fund is actively managed and seeks to grow capital and to generate income. The Fund has no reference Benchmark. The investment objective of this Fund is to achieve maximum capital appreciation commensurate with reasonable risk.

Legal information

Depository bank Caceis Bank, Luxembourg branch
Audit firm EY
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 6759 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 Daily
Fund units publication

Fund ticker

ISIN code LU2232027131
Bloomberg LELIEIE LX


Entry charge None
Exit charge None
Maximum management fees 0,9% on an annual basis
Performance fee 20% calculated on the positive difference between the net return of the Fund and the index consisting of 10% ICE BofA Euro Treasury Bill Index and 90% MSCI World net TR Index in the reference year.
Minimum amount of the first subscription 500.000 euro
Minimum amount of subsequent subscriptions None


Period NAV Fund Benchmark
- - - -
* Average annual compound yield
NOTE: Before subscribing, read the informative prospectus. There is no guarantee of obtaining the same return afterwards.

Graphic trend

Annual chart

The year opened counter to the trend of November and December, with the US ten-year rate rising again in the first half of the month, only to lose ground once more.

Monthly comment from the manager

This movement caused the most rate-sensitive securities to experience some volatility. Overall, the three macro-areas of Innotech ESG performed as in previous months, with CleanTech and HealthTech also suffering from the macroeconomic environment, while DigitalTech – still driven by the euphoria surrounding generative artificial intelligence – was the macro-area that contributed most positively during the month. Two important events were held in the technology sector: the CES in Las Vegas – the world's largest consumer electronics event – and the JPMorgan Health Conference in San Francisco.

The former revolved around artificial intelligence and showcased some of the companies in portfolio, such as Intel and Qualcomm, which underscored the central role of AI-based experiences in their products, as the use of this new technology is set to move from the cloud to the edge, i.e. to personal devices.

AI also dominated the scene at the San Francisco conference, as evidenced by Nvidia's partnership with Amgen and Novartis' with Microsoft, though the companies also presented their results for the fourth quarter of 2023 during the event. About half of the companies in portfolio attended, and all reported better-than-expected revenues, although the sector still suffered from the macroeconomic environment and the slowdown in China. 

In CleanTech, the situation still offers little visibility as inventories – especially in the residential solar sector – remain high and it will still take a couple of quarters to see when they will be taken up and demand will resume. For the time being, the fund remains underweight in this issue, as it waits for the companies to provide clarity during this and the next reporting season.

Reporting season began during the month. Although most companies in portfolio will report their results in February, reporting season has already provided some indication of the health of the sectors in which the companies operate. For the moment, the positives are outweighing the negatives, with some sectors recovering strongly after a difficult 2023, laying a solid foundation for a better-than-expected second half of the year.


Document Date of the document Download
Monthly report 16/02/2024 PDF get_app

Offer documents

Document Date of the document Download
KID 01/03/2024 PDF get_app
KID SWI 13/01/2023 PDF get_app
Management rules 05/02/2019 PDF get_app
Prospectus 16/08/2023 PDF get_app

Semi-annual reports

Document Date of the document Download
Semi annual report 30/06/2023 PDF get_app
Semi annual report CH 30/06/2023 PDF get_app

Annual reports

Document Date of the document Download
Annual report 31/12/2022 PDF get_app
Annual Report CH 31/12/2022 PDF get_app

ESG Policy

Document Date of the document Download
Responsible Investment Policy 18/07/2023 PDF get_app
Investors' Notice 30/06/2023 PDF get_app
Summary sheet 21/04/2021 PDF get_app

Sustainability related disclosure

Document Date of the document Download
Web Disclosure 23/01/2023 PDF get_app
Leadersel Innotech ESG - Informativa Precontrattuale RTS 23/01/2023 PDF get_app
Leadersel Innotech ESG - RTS Periodic Disclosure 13/07/2023 PDF get_app
Fund manager
Sergio Allegri
Team Investimenti Tecnologia ESG
Marco Gennari
Team Investimenti Tecnologia ESG
Risk level
  • 1
  • 2
  • 3
  • 4
  • 5
  • 6
  • 7


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