The fund's objective is to outperform the MSCI USA Net Total Return Index (net dividends reinvested) over the recommended investment horizon of 5 years, by investing primarily in equities of companies domiciled or listed in the United States, through a portfolio selection process combining financial and extra-financial analysis criteria, including consideration of environmental, social and governance (ESG) criteria.

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SRI1234567
ISIN codeAUMStarting dateNAVClass-Currency
FR0014017MP1As of 2026/04/24 As of

Strategy

“At a time when financial and non-financial information on businesses and markets is both widespread and abundant, it is vital to be able to make sense of it all using innovative tools and put it to work generating performance”
  • Simplified access to the US equities market, offering a wide range of opportunities.
  • A flexible portfolio in terms of sectors, industries and cap sizes, aimed at capturing US economic momentum.
  • A strategy based on a quantitative approach and an in-depth securities analysis combining financial and non-financial criteria, tailored to the specific characteristics of the US market.
  • A portfolio management approach free of human bias, founded on quantitative analysis criteria based on BlackRock's research capabilities and management techniques.

Performances

There is insufficient data to provide investors with a useful indication of past performance

Risks

  • Risk of capital loss: As the FCP offers no guarantees or protection, the capital initially invested may not be returned.
  • Currency risk: the FCP is exposed to currencies other than the euro. If the euro rises against other currencies, the fund's net asset value will be adversely affected.
  • Equity risk: changes in equity prices may have a negative impact on the FCP's net asset value. In periods of falling equity markets, the net asset value may fall.

Characteristics

Fund features
Placement duration 5 years
Domiciliation FRANCE
Legal type FCP
Accounting currency EUR
Management company SG IS (France)
Administrator SGSS FAS NAV - Paris
UCITS/AIFM UCITS
Fund passporting FRANCE
Share class characteristics
ISIN code FR0014017MP1
Currency EUR
NAV EUR
Maximum management fees 1.20%
Maximum performance fees
Minimum investment 1.00
Min subsequent subscription -
Data as of

Documents

Reports
Documents

Prospectus (FR)

KID PRIIPS (FR)

 

This page contains information of an advertising nature. It does not constitute a contractual commitment, investment advice or any other investment service, nor tax advice, and is not sufficient for making an investment decision. All information is provided for information purposes only and is subject to change without notice. SG IS (France) cannot be held responsible for any consequences, particularly financial, resulting from transactions on financial instruments concluded on the basis of this information alone.

Please refer to the fund's prospectus and key information document before making any final investment decision. We invite you to take particular note of the risks and costs associated with this fund, as well as the recommended investment period and information relating to the subscribers concerned. Please note that past performance is no guarantee of the fund's future performance. We draw your attention to the fact that capital is not guaranteed and that investors may lose all or part of the capital invested. Finally, we invite you to contact your investment advisor on a regular basis to determine whether the planned investment is compatible with your personal situation, profile and investment objectives.