|Fund Strategy||Equity Long / Short|
|Investment Advisor||Carmignac Gestion|
|Portfolio Manager||Malte Heininger|
|Fund AUM (GBP)||£309m|
|Fund AUM as of||23 May 2018|
|Max Gearing / Exposure||200%|
|Fund Inception||03 February 1997|
AH Equity Long / Short UCITS Index
Sub Index - Equity Long / Short Conservative
The Fund aims to outperform its reference indicator over a period of at least three years, using an active, discretionary investment strategy.
50% EuroStoxx 50 + 50% Eonia compounded.