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Atlantas Sicav American One

Ranked 357 out of 866 in - US over 12 months
All calculations are in USD unless stated

Objective

The fund invests in shares issued by large-cap companies in the zone North America and / or units or shares issued by collective investment undertakings investing primarily in this region. Under normal market conditions, the Sub-Fund will hold, directly or indirectly, a minimum of 75% of shares issued by large-cap companies in the North American zone. Derivatives (futures, options, swaps and forwards) may be used for hedging purposes

Showing fund performance globally. You can view performance in individual jurisdictions.

Performance

US over : 30/09/2016 - 30/09/2017
  • Rank 357/866 Total Return
  • Rank 88/866 Standard Deviation
  • Rank 88/866 Max Drawdown
Fund Name Currency Risk
86 Fidelity American Disciplined Eq Cu Neut Cl Srs B

Currency exposure is hedged

Currency exposure is hedged

CAD

5.2

87 Fidelity US Equity Currency Neutral PP Series B

Currency exposure is hedged

Currency exposure is hedged

CAD

5.2

88 Longleaf Partners US UCITS I USD USD

5.2

88 Eurovalor Estados Unidos, FI USD

5.2

88 Atlantas Sicav American One USD

5.2

Total Return

Quarterly Performance

to 29/09/2017 Annual Q1 Q2 Q3 Q4
2017 5.3% 5.2% 1.9%
2016 9.5% -0.1% -2.0% 7.8% 3.7%
2015 -0.6% 2.1% -1.6% -8.9% 8.5%
2014 13.8% 2.2% 3.8% -1.0% 8.4%
2013 33.6% 8.4% 1.9% 10.9% 9.1%
2012 12.4% 12.0% -9.3% 10.7% 0.1%
2011 -2.2% 4.8% -2.6% -11.2% 7.9%
2010 11.8% 5.7% -10.2% 5.4% 11.8%
2009 41.6% -3.7% 19.3% 14.8% 7.4%
2008 -39.0% -8.0% -2.0% -12.2% -23.0%
2007 1.3% 1.1% 4.1% 0.1% -3.9%
2006 4.9% 3.1% -5.7% 3.4% 4.4%
2005 6.9% -3.1% 2.8% 1.6% 5.7%
2004 7.6% 2.5% 0.6% -7.0% 12.2%
2003 40.5% -0.4% 18.2% 6.0% 12.6%
2002 -23.1% -1.5% -12.3% -14.6% 4.3%
2001 3.8% -2.9% 6.6% -17.9% 22.2%
2000 -2.3% 5.4% -3.2% 2.8% -6.8%
1999 21.1% 4.0% 6.7% -7.7% 18.2%
1998 3.7% 12.3% -2.6% -13.4% 9.5%
1997 22.6% -1.4% 15.8% 8.4% -1.1%
1996 13.7% 5.5% 3.5% 2.9% 1.2%
1995 1.4%

Month by Month Performance

Returns Vs Risk

Registered For Sale In

  1. France
  2. Luxembourg

Fund Info

  • Launch date08/03/1990
  • Share Class size169Mn
  • Base currencyUSD
  • ISIN LU0026597608

Purchase Info

  • Min. initial investment1
  • Min. regular additional investment0

Charges

Performance is for the period shown (month end to month end, bid/bid, gross income reinvested, calculated in USD).