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BNP Paribas | BNP US Value Multi-Factor Euro-hedged Dis

At all times, this sub-fund invests at least 75% of its assets in equities and/or equity equivalent securities issued by companies that the management team considers to be under-valued as compared to the market on the purchase date and that have their registered office or conduct a significant proportion of their business in the United States of America. The remaining portion, namely a maximum of 25% of its assets, may be invested in money market instruments, financial derivative instruments (mainly futures) for hedging and trading (investment) purposes, and/or cash, and also, within a limit of 15% of the assets, in debt securities of any kind and, within a limit of 10% of the assets, in UCITS or UCIs. The portfolio is built based on a systematic approach, combining several equity factor criterions such as value, quality, low-volatility and momentum.
Quote
Quote
€154,37
Quote date
01-04-2026
Performance in EUR
Date
31-03-2026
This year
-2,23%
1 week
-0,18%
1 month
-5,56%
3 months
-2,23%
6 months
0,50%
1 year
12,27%
3 years (annualised)
13,23%
5 years (annualised)
9,41%
Since start (annualised)
7,93%
Indicators
Standard deviation (3yr)
17,00%
Share ratio (3yr)
0,64
Beta (3yr)
-
Alpha (3yr)
-
Tracking error (3yr)
-
Top 10 holdings (28-02-2026)
E-mini S&P 500 Future Mar 26
10,18 %
Newmont Corp
2,34 %
The Travelers Companies Inc
2,30 %
TJX Companies Inc
2,27 %
Allstate Corp
2,25 %
Bank of New York Mellon Corp
2,23 %
Arch Capital Group Ltd
2,23 %
The Hartford Insurance Group Inc
2,16 %
Quest Diagnostics Inc
2,16 %
Progressive Corp
2,09 %
Fees
Entry fee
0,20%
Exit charges
0,20%
Estimated ongoing charges
0,82%
Dividend
Dividend paying
Yes
Dividend
€2,87
Ex-dividend date
21-04-2026
Payment date
04-05-2026
Dividend frequency
Annually
Characteristic
Asset Manager
BNP Paribas
Asset class
Equities
Investment category
Equities - North America
Active/Passive
Active
Fund code
95631
Fund code fractional orders
95631
Fund manager name
Henri Fournier|Wadii El Moujil
ISIN
LU1458428676
Sustainable Classification
Art. 8, ESG integration
Sustainability Rating
Domicile
Luxembourg
Currency
EUR
Fund size (mio)
€1.331,89 (31-03-2026)
Cut-off time
15:30:00
Execution date
Yes, T+1
Inception date
18-09-2017
Benchmark
MSCI USA Value NR USD
Minimum investment amount
€20
Assortiment
Self Directed Investing Plus, Investment advice