Morningstar Research Objetivo de inversión: Magallanes European Equity P FI La gestión toma como referencia la rentabilidad del índice MSCI Total Return Net Europe Se invertirá como mínimo el 75% de la exposición total en renta variable. Los emisores/mercados europeos supondrán, al menos, el 75% de la exposición en renta variable. Magallanes European Equity's investment horizon is mainly focused on companies listed in Europe, not excluding other OECD countries Investment horizon > 5 years. Invest Investment philosophy Open-ended Fund actively managed under Value Investing principles, investing in companies trading below long-term fundamental value.
Magallanes European Equity (3/29) Rankia
Magallanes European Equity - Clase M. ISIN: ES0159259011-Magallanes European Equity - Clase P. ISIN: ES0159259029-Magallanes European Equity - Clase E. ISIN: ES0159259003-Rentabilidades históricas. La rentabilidad histórica no es un indicador fiable de la rentabilidad futura. Los mercados podrían evolucionar de manera muy distinta en el futuro. Magallanes European Equity P FI + Add to watchlist ES0159259029:EUR Actions Price (EUR) 217.41 Today's Change -0.019 / -0.01% 1 Year change +21.69% Data delayed at least 15 minutes, as of Dec 25. Magallanes Value Investors UCITS European Equity P EUR + Add to watchlist + Add to portfolio. LU1330191625:EUR. Magallanes Value Investors UCITS European Equity P EUR. Actions.. Europe Flex-Cap Equity: IMA sector--Launch date: 31 Dec 2015: Price currency: GBP: Domicile: Luxembourg: ISIN: LU1330191625: Manager & start date: Iv n Mart n Ar nguez. Historical Prices 1 Date Range: Nov 19, 2023 - Dec 19, 2023 Data delayed at least 15 minutes, as of Dec 15 2023. The performance data shown in tables and graphs on this page is calculated in GBX of.
Magallanes European Equity Rankia
Minimum investment, by class € 1,000,000class P, 1 share class M MAGALLANES EUROPEAN EQUITY, FI Fund Management Company Magallanes Value Investors, S.A. S.G.I.I.C. Registration number at CNMV 239 Fund Manager Iván Martín, CFA Investor Relations Arantxa Wong / +34 91 436 33 87 Investment Objective: Magallanes Value Investors UCITS European Equity I EUR The Sub-fund's objective is to deliver high performance in both absolute and relative term over the long term horizon. Performance charts for Magallanes European Equity FI Fund (MAGEUEM) including intraday, historical and comparison charts, technical analysis and trend lines. Magallanes Value Investors UCITS European Equity I EUR + Add to watchlist LU1330191385:EUR Actions Price (EUR) 203.56 Today's Change -0.356 / -0.17% 1 Year change +21.06% Data delayed at least 15.
Magallanes European Equity Un fondo equilibrado y rentable Rankia
Iván Martín Aránguez founded Magallanes Value Investors in 2015 where he manages european equity funds. Prior to this, he was head of equities and a portfolio manager at Santander Asset Management where he run equity funds with a value investment style since 2012. Previously he worked at Aviva Gestion as head of equities for seven years from. Find our live Magallanes European Equity P Fi fund basic information. View & analyze the 0P0001572Y fund chart by total assets, risk rating, Min. investment, market cap and category.
Magallanes is an independent equity-only asset management, following value investment philosophy and controlled by its founders. Know our team The latest fund information for Magallanes Value Investors UCITS European Equity R, including fund prices, fund performance, ratings, analysis, asset allocation, ratios & fund manager information.
Magallanes European Equity E FI. Análisis completo
apr 2021 - Presente2 anni 7 mesi. #Member of the Nova Talent, the global by-invitation-only top-talent network that connects high potential individuals amongst themselves and with the best professional opportunities. #Community of +10.000 members, in 72 countries, covering tech, consulting, startups, finance, retail, energy and more industries. Companies' restructuring and turnaround, Debt Restructuring and rengotiation, M&A, Equity and Fund Raising, Rescue plans and distressed financial recovery. Cash Management. Broad Corporate Legal experience. Internal Control, Financial Planning & Analysis, Outsourcing, Governance over Multinational entities. Tax/Corporate restructurng.