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A comprehensive range of funds for all risk profiles and investment horizons.

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Risk scale
As of 26/03/2020 NAV (€) AuM (M€) Performance (%) Risk level Monthly report KIID Responsible Investment
D-1 2020 1 year 3 years Inception
  Equities
/ Small & Mid Cap
Echiquier Entrepreneurs A
NAV As of 26/03/2020 182,82€
Performance 2020 -20,8%
Echiquier Entrepreneurs A

FR0011558246

182,82 384,3 +2,6 -20,8 -8,7 +0,7 +82,8 5/7 Download ESG
Echiquier Entrepreneurs G
NAV As of 26/03/2020 1 449,32€
Performance 2020 -20,7%
Echiquier Entrepreneurs G

FR0013111382

1 449,32 384,3 +2,6 -20,7 -7,8 +3,9 +44,9 5/7 Download ESG
Echiquier Entrepreneurs Small Cap Europe A EUR
NAV As of 26/03/2020 113,60€
Performance 2020 -20,7%
Echiquier Entrepreneurs Small Cap Europe A EUR

LU1499193503

113,60 0,2 +2,6 -20,7 -8,7 +0,6 +82,3 5/7 Download ESG
Echiquier Agenor SRI Mid Cap Europe A
NAV As of 26/03/2020 349,61€
Performance 2020 -15,4%
Echiquier Agenor SRI Mid Cap Europe A

FR0010321810

349,61 1 251,2 +2,5 -15,4 -1,2 +18,7 +249,6 5/7 Download Download Label ISR
Echiquier Agenor SRI Mid Cap Europe G
NAV As of 26/03/2020 379,54€
Performance 2020 -15,1%
Echiquier Agenor SRI Mid Cap Europe G

FR0010581710

379,54 1 251,2 +2,5 -15,1 +0,1 +22,8 +125,7 5/7 Download Download Label ISR
Echiquier Agenor SRI Mid Cap Europe I
NAV As of 26/03/2020 2 426,92€
Performance 2020 -15,0%
Echiquier Agenor SRI Mid Cap Europe I

FR0011188259

2 426,92 1 251,2 +2,5 -15,0 +0,7 +25,7 +142,7 5/7 Download Download Label ISR
Echiquier Agenor Euro SRI Mid Cap G
NAV As of 26/03/2020 107,87€
Performance 2020 -13,9%
Echiquier Agenor Euro SRI Mid Cap G

FR0013403714

107,87 192,5 +2,1 -13,9 +7,1 - +7,9 5/7 Download Label ISR
Echiquier Agenor Euro SRI Mid Cap I
NAV As of 26/03/2020 1 142,09€
Performance 2020 -13,9%
Echiquier Agenor Euro SRI Mid Cap I

FR0013387339

1 142,09 192,5 +2,1 -13,9 +0,3 - +14,2 5/7 Download Label ISR
Echiquier Agenor Mid Cap Europe Fund B EUR
NAV As of 26/03/2020 160,15€
Performance 2020 -15,4%
Echiquier Agenor Mid Cap Europe Fund B EUR

LU0969069516

160,15 18,4 +2,5 -15,4 -0,5 +17,9 +60,2 5/7 Download Download ISR
Echiquier Agenor Mid Cap Europe Fund K EUR
NAV As of 26/03/2020 1 630,23€
Performance 2020 -15,2%
Echiquier Agenor Mid Cap Europe Fund K EUR

LU0969069359

1 630,23 18,4 +2,5 -15,2 +0,3 +21,4 +63,0 5/7 Download Download ISR
/ Large Cap
Echiquier Major SRI Growth Europe A
NAV As of 26/03/2020 251,06€
Performance 2020 -14,6%
Echiquier Major SRI Growth Europe A

FR0010321828

251,06 572,3 +3,3 -14,6 +3,3 +13,8 +151,1 5/7 Download Download Label ISRLabel FebelfinLabel FNG
Echiquier Major SRI Growth Europe G
NAV As of 26/03/2020 255,21€
Performance 2020 -14,4%
Echiquier Major SRI Growth Europe G

FR0010581728

255,21 572,3 +3,3 -14,4 +4,6 +17,6 +108,6 5/7 Download Download Label ISRLabel FebelfinLabel FNG
Echiquier Major SRI Growth Europe I
NAV As of 26/03/2020 1 959,85€
Performance 2020 -14,2%
Echiquier Major SRI Growth Europe I

FR0011188275

1 959,85 572,3 +3,3 -14,2 +5,0 +20,2 +96,0 5/7 Download Download Label ISRLabel FebelfinLabel FNG
Echiquier Major SRI Growth Europe Fund B EUR
NAV As of 26/03/2020 130,86€
Performance 2020 -14,7%
Echiquier Major SRI Growth Europe Fund B EUR

LU0969070365

130,86 9,2 +3,3 -14,7 +3,6 +13,2 +30,9 5/7 Download Download ISR
Echiquier Major SRI Growth Europe Fund K EUR
NAV As of 26/03/2020 1 360,77€
Performance 2020 -14,5%
Echiquier Major SRI Growth Europe Fund K EUR

LU0969070282

1 360,77 9,2 +3,3 -14,5 +4,4 +16,5 +36,1 5/7 Download Download ISR
Echiquier World Equity Growth A
NAV As of 26/03/2020 245,17€
Performance 2020 -14,4%
Echiquier World Equity Growth A

FR0010859769

245,17 599,2 +2,3 -14,4 -4,3 +20,8 +145,2 6/7 Download Download ESG
Echiquier World Equity Growth I
NAV As of 26/03/2020 2 485,38€
Performance 2020 -14,0%
Echiquier World Equity Growth I

FR0011188267

2 485,38 599,2 +2,4 -14,0 -2,3 +29,4 +148,5 6/7 Download Download ESG
Echiquier World Equity Growth G
NAV As of 26/03/2020 267,13€
Performance 2020 -14,1%
Echiquier World Equity Growth G

FR0010868174

267,13 599,2 +2,3 -14,1 -2,7 +25,5 +167,1 6/7 Download Download ESG
Echiquier World Equity Growth I USD
NAV As of 26/03/2020 925,71€
Performance 2020 -
Echiquier World Equity Growth I USD

FR0013405263

925,71 599,2 - - - - - 6/7 Download Download ESG
Echiquier World Equity Growth Fund B EUR
NAV As of 26/03/2020 177,85€
Performance 2020 -13,9%
Echiquier World Equity Growth Fund B EUR

LU0969070019

177,85 7,0 +2,4 -13,9 -4,4 +19,8 +77,9 6/7 Download ESG
Echiquier World Equity Growth Fund K EUR
NAV As of 26/03/2020 1 870,88€
Performance 2020 -13,9%
Echiquier World Equity Growth Fund K EUR

LU0969069946

1 870,88 7,0 +2,4 -13,9 -4,0 +22,9 +87,1 6/7 Download ESG
/ All Cap
Echiquier Agressor A
NAV As of 26/03/2020 1 154,69€
Performance 2020 -36,8%
Echiquier Agressor A

FR0010321802

1 154,69 384,4 +2,6 -36,8 -31,8 -41,5 +1 111,9 5/7 Download ESG
Echiquier Positive Impact Europe A
NAV As of 26/03/2020 193,61€
Performance 2020 -13,0%
Echiquier Positive Impact Europe A

FR0010863688

193,61 152,2 +2,5 -13,0 +1,3 +11,7 +93,6 5/7 Download Download Label ISRLabel FebelfinLabel FNG
Echiquier Positive Impact Europe G
NAV As of 26/03/2020 103,04€
Performance 2020 -12,8%
Echiquier Positive Impact Europe G

FR0013299294

103,04 152,2 +2,5 -12,8 +1,9 - +3,0 5/7 Download Download Label ISRLabel FebelfinLabel FNG
Echiquier Positive Impact Europe I
NAV As of 26/03/2020 1 002,51€
Performance 2020 -12,8%
Echiquier Positive Impact Europe I

FR0013286911

1 002,51 152,2 +2,5 -12,8 +2,1 - +0,3 5/7 Download Download Label ISRLabel FebelfinLabel FNG
Echiquier Value Euro A
NAV As of 26/03/2020 116,77€
Performance 2020 -31,8%
Echiquier Value Euro A

FR0011360700

116,77 152,6 +1,8 -31,8 -27,4 -41,1 +15,8 6/7 Download ESG
/ Themes
Echiquier Artificial Intelligence B EUR
NAV As of 26/03/2020 112,43€
Performance 2020 -5,1%
Echiquier Artificial Intelligence B EUR

LU1819480192

112,43 130,6 +2,3 -5,1 +3,0 - +12,4 6/7 Download Download ESG
Echiquier Artificial Intelligence I EUR
NAV As of 26/03/2020 -
Performance 2020 -
Echiquier Artificial Intelligence I EUR

LU1819578672

- - - - - - - -
Echiquier Artificial Intelligence K EUR
NAV As of 26/03/2020 114,57€
Performance 2020 -5,0%
Echiquier Artificial Intelligence K EUR

LU1819479939

114,57 130,6 +2,3 -5,0 +3,7 - +14,6 6/7 Download Download ESG
Echiquier Artificial Intelligence M EUR
NAV As of 26/03/2020 1 156,77€
Performance 2020 -4,8%
Echiquier Artificial Intelligence M EUR

LU1819480275

1 156,77 130,6 +2,3 -4,8 +4,4 - +15,7 6/7 Download Download ESG
Echiquier Luxury A
NAV As of 26/03/2020 118,79€
Performance 2020 -15,0%
Echiquier Luxury A

FR0010960930

118,79 5,8 +0,8 -15,0 -4,6 +14,2 +18,8 5/7 ESG
Echiquier Luxury I
NAV As of 26/03/2020 194,28€
Performance 2020 -14,6%
Echiquier Luxury I

FR0010458265

194,28 5,8 +0,9 -14,6 -2,4 +20,4 +94,3 5/7 ESG
Echiquier Robotics A
NAV As of 26/03/2020 143,70€
Performance 2020 -9,6%
Echiquier Robotics A

FR0012417350

143,70 12,1 +2,2 -9,6 +3,3 +23,8 +43,7 6/7 Download ESG
Echiquier Robotics I
NAV As of 26/03/2020 156,41€
Performance 2020 -9,1%
Echiquier Robotics I

FR0012413722

156,41 12,1 +2,2 -9,1 +5,8 +30,6 +56,4 6/7 Download ESG
  Multi assets
Echiquier Patrimoine A
NAV As of 26/03/2020 779,77€
Performance 2020 -11,2%
Echiquier Patrimoine A

FR0010434019

779,77 310,7 +0,4 -11,2 -12,1 -14,3 +104,6 3/7 Download Download ESG
Echiquier ARTY A
NAV As of 26/03/2020 1 453,84€
Performance 2020 -10,6%
Echiquier ARTY A

FR0010611293

1 453,84 805,6 +1,4 -10,6 -5,7 -7,8 +45,4 4/7 Download Download ESG
Echiquier ARTY Fund A EUR
NAV As of 26/03/2020 104,78€
Performance 2020 -10,5%
Echiquier ARTY Fund A EUR

LU0969069607

104,78 10,7 +1,4 -10,5 -5,7 -7,8 +45,2 4/7 Download Download ESG
Echiquier ARTY Fund D EUR
NAV As of 26/03/2020 86,79€
Performance 2020 -10,5%
Echiquier ARTY Fund D EUR

LU1062933921

86,79 10,7 +1,4 -10,5 -6,7 -11,7 -3,7 4/7 Download Download ESG
Echiquier ARTY Fund G EUR
NAV As of 26/03/2020 1 045,99€
Performance 2020 -10,5%
Echiquier ARTY Fund G EUR

LU1344564007

1 045,99 10,7 +1,4 -10,5 -5,2 -6,5 +4,6 4/7 Download Download ESG
Echiquier ARTY Fund I EUR
NAV As of 26/03/2020 1 036,67€
Performance 2020 -10,4%
Echiquier ARTY Fund I EUR

LU1062933848

1 036,67 10,7 +1,4 -10,4 -5,1 -6,1 +8,5 4/7 Download Download ESG
  Bonds and Convertible bonds
/ Convertible bonds
Echiquier Altarocca Convertibles A
NAV As of 26/03/2020 99,56€
Performance 2020 -8,9%
Echiquier Altarocca Convertibles A

FR0011672799

99,56 186,9 +0,7 -8,9 -6,8 -9,1 -0,4 3/7 Download ESG
Echiquier Altarocca Convertibles I
NAV As of 26/03/2020 1 013,16€
Performance 2020 -8,7%
Echiquier Altarocca Convertibles I

FR0011672807

1 013,16 186,9 +0,7 -8,7 -6,2 -7,4 +1,3 3/7 Download ESG
Echiquier Altarocca Convertibles G
NAV As of 26/03/2020 92,62€
Performance 2020 -8,7%
Echiquier Altarocca Convertibles G

FR0013340965

92,62 186,9 +0,7 -8,7 -5,9 - -7,4 3/7 Download ESG
  Alternative
/ Systematic
Echiquier QME A
NAV As of 26/03/2020 1 069,18€
Performance 2020 +3,4%
Echiquier QME A

FR0012815876

1 069,18 97,1 -0,4 +3,4 +8,8 +2,3 +6,9 4/7 Download
Echiquier QME I
NAV As of 26/03/2020 1 067,63€
Performance 2020 +3,4%
Echiquier QME I

FR0013133618

1 067,63 97,1 -0,4 +3,4 +9,1 +3,5 +6,8 4/7 Download
Echiquier QME Global I
NAV As of 26/03/2020 1 068,92€
Performance 2020 +9,2%
Echiquier QME Global I

FR0012532836

1 068,92 8,9 +2,8 +9,2 +17,3 -1,3 +6,9 5/7 Download
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Legal information

The information provided above is not contractual and does not constitute investment advice. Past performance is not a reliable indicator of future performance. Management fees are included in performances. The value of the investment may change in line with market fluctuations and investors may lose some or all of their initial investment, as the investment funds carry no capital guarantee. Access to the products and services presented herein may be subject to restrictions for certain people or countries. Taxation depends on each investor’s personal situation. The risks, charges and recommended investment period of the investment funds presented are described in the KIIDs (key investment information documents) and prospectuses available on this website. The KIID must be provided to potential investors prior to subscription.