Pension plan

Liquidity alert

 Collecting the benefit or exercising the right of redemption is only possible in the event that any of the contingencies or exceptional cases of liquidity regulated by the regulations on pension plans and funds arise.

  The value of mobilisation rights, benefits and exceptional liquidity events depends on the market value of the pension fund assets and may lead to significant losses.

Mundiplan Audaz Global PP

DGS code: N1981


Risk on a scale of 1 to 7
1
2
3
4
5
6
7
Less Risk Potentially lower return
More Risk Potentially higher return

The risk-return indicator corresponds to that which is assigned by the DDFP, as indicated by the National Securities Market Commission. This information is indicative of the potential return and risk of the plan and is calculated on the basis of historical data that may not be a reliable indicator of the future plan profile.


Return (YTD)
15,06%
Return 2020
4,48%
Last Net Asset Value
15,760 €
-1,86%
Information last updated on 20 Sep 2021

Performance of 10,000 (Euros)

Annual return (%)
2015 2016 2017 2018 2019 2020
7,23 7,87 8,53 -6,89 26,38 4,48
Past performance is no guarantee of future results

Investment strategy

La filosofia de inversión del Fondo de Pensiones se centra en valores de renta variable nacional e internacional con un horizonte temporal de inversión a medio y largo plazo. El porcentaje de inversión mínimo en renta variable es el 75%.

Additional information

MORNINGSTAR CATEGORY

RV Global PP

ASSET MANAGER

AXA Pensiones EGFP

INCEPTION DATE

14 Jul 2000

ASSETS UNDER MANAGEMENT

EUR 349.386.566,00 (20 Sep 2021)

MANAGEMENT FEE

1,50%

DEPOSIT FEE

0,03%

ONGOING CHARGES

-

Legal Documentation and Reports

The Net Asset Value (NAV) is updated every working day after the closing of the markets and before 23:00 whenever possible. The currency used for this purpose is the Euro (EUR). The accumulated profits are calculated from NAV to NAV and with reinvestment of dividends. Dividends from national funds are calculated after deduction of taxes. Source: Morningstar.

Changes in NAV

20 Sep 2021

Annual return (%)

20 Sep 2021

14,71 -4,67 12,66 17,36 14,98 7,23 7,87 8,53 -6,89 26,38 4,48
4,93 -7,74 10,04 18,68 8,20 5,89 4,58 6,83 -11,60 21,24 0,52
19,53 -2,38 14,05 21,20 19,50 10,42 10,73 7,51 -4,11 30,02 6,33
4,93 -7,74 10,04 18,68 8,20 5,89 4,58 6,83 -11,60 21,24 0,52

Accumulated returns (%)

20 Sep 2021

-1,86 - -
-2,28 - -
-1,43 - -
2,34 - -
7,72 - -
26,24 - -
10,31 - -
10,60 - -
4,65 - -

Morningstar rating (relative to category)

31 Ago 2021

Over Average Under average
Over Average Under average
High Under average
High Under average
Category: RV Global PP

Return/Risk analysis

31 Aug 2021

10,17 15,34 12,66
2,54 0,81 0,93
9,00 26,00 40,00
3,00 10,00 20,00
-2,03 -11,44 -11,44

Current Portfolio Statistics

31 Aug 2021

97,65 98,78
0,91 0,95
-1,50 -1,62

Liquidity alert

 Collecting the benefit or exercising the right of redemption is only possible in the event that any of the contingencies or exceptional cases of liquidity regulated by the regulations on pension plans and funds arise.

  The value of mobilisation rights, benefits and exceptional liquidity events depends on the market value of the pension fund assets and may lead to significant losses.

Allocation by asset class (%)

Shares
Obligations
Cash
Others

Allocation by sector (%)

Cyclical
Basic Materials 4,04
Consumer Cyclical 12,59
Financial Services 13,78
Real Estate 2,45
Defensivo
Consumer Defensive 6,99
Healthcare 12,62
Public Services 2,58
Sensible al ciclo
Communication Services 10,18
Energy 2,72
Industrial 9,88
Tech 22,16

Liquidity alert

 Collecting the benefit or exercising the right of redemption is only possible in the event that any of the contingencies or exceptional cases of liquidity regulated by the regulations on pension plans and funds arise.

  The value of mobilisation rights, benefits and exceptional liquidity events depends on the market value of the pension fund assets and may lead to significant losses.

Fees

Purchase information

Minimum initial investment 150 Euros
Contributions 150 EUR

Annual fees

Maximum management fee 1,50%
Maximum success fee -

 

Maximum deposit fee 0,03%
Maximum net expense ratio -
Ongoing Charges -

Management

Asset Management Information

Name
AXA Pensiones EGFP
Telephone
+34 902 303 012
Website
http://www.axa.es
Address
plaza de la Pau, s/n - Spain

Fund

Registration
Spain
UCITS
No
Inception date
14 Jul 2000

Asset Manager (s)

Loreto  Bernues

Since
14 Jul 2000
Biography
-

Liquidity alert

 Collecting the benefit or exercising the right of redemption is only possible in the event that any of the contingencies or exceptional cases of liquidity regulated by the regulations on pension plans and funds arise.

  The value of mobilisation rights, benefits and exceptional liquidity events depends on the market value of the pension fund assets and may lead to significant losses.

Source of information: Morningstar