Our fund range GemFunds

01
Action funds

GemEquity

Invest in emerging markets

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AUM 1,028M€ at 2022-06-30
Investment objective

GemEquity is an active fund targeting long-term performance through exposure to securities primarily issued in the emerging countries (Asia, Latin America, the Carribbean, Eastern Europe –including Russia and countries of the former USSR, the Middle East and Africa).

SRRI or risk scale: Synthetic risk and return indicator ranging from 1 to 7. This indicator measures volatility Fund and risk to which investors' capital is exposed. At lower risk (1), potentially lower return, and at higher risk (7), potentially higher return. Risk profile is not constant and may change over time.

Risk level*
6/7

GemAsia

Invest on Asian equities ex Japan

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AUM 142M€ at 2022-06-30
Investment objective

GemAsia is an active fund targeting long-term performance through exposure to securities primarily issued in Asia ex Japan area.

SRRI or risk scale: Synthetic risk and return indicator ranging from 1 to 7. This indicator measures volatility Fund and risk to which investors' capital is exposed. At lower risk (1), potentially lower return, and at higher risk (7), potentially higher return. Risk profile is not constant and may change over time.

Risk level*
6/7

GemChina

Invest on chinese equities

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AUM 119M€ at 2022-06-30
Investment objective

GemChina is an active fund targeting long-term performance through exposure to securities primarily issued from China.

SRRI or risk scale: Synthetic risk and return indicator ranging from 1 to 7. This indicator measures volatility Fund and risk to which investors' capital is exposed. At lower risk (1), potentially lower return, and at higher risk (7), potentially higher return. Risk profile is not constant and may change over time.

Risk level*
6/7
02
Bond funds

GemBond

Invest in emerging markets

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Investment objective

GemBond is an active fund targeting best long-term risk-adjusted performance through exposure to bonds issued by emerging countries (Asia, Latin America, Caribbean, Eastern Europe - including Russia and countries of the (ex-USSR, Middle East, Africa) mainly marked in hard currency. 

SRRI or risk scale: Synthetic risk and return indicator ranging from 1 to 7. This indicator measures volatility Fund and risk to which investors' capital is exposed. At lower risk (1), potentially lower return, and at higher risk (7), potentially higher return. Risk profile is not constant and may change over time.

Risk level*
4/7

In accordance with AMF regulations, as fund was launched less than a year ago, we cannot disclose any performance information.

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