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ASR IndexPlus Institutioneel Europa Aandelen Fonds B

Also known as:

  • ASR IndexPlus Institutioneel Europa Aandelen Fonds B (A-unit)

Administrator: ASR Vermogensbeheer N.V.

ISIN: NL0012294144

Date: 31/12/2024 ?
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Documents

Prospectus

Annual reports

Semi annual reports

AIF Manager

SFDR

Other

Price trend and fund data

Price: € 79.14

31/03/2025

Previous price: € 80.65

28/03/2025

Difference: -1.51

Objective

The ASR IndexPlus Institutioneel Europa Aandelen Fonds invests in a well-diversified portfolio of (medium) large European companies, listed on stock exchanges in countries within Europe. The investment objective of the fund is to achieve an optimal risk-return profile in the long term with a limited deviation from the MSCI Europe Net Total Return EUR Index, given the Policy on Responsible Investments (PRI policy). The fund is classified for Article 8 of the Transparency Regulation as a fund that promotes environmental and social characteristics. You can read more about this in Appendix IV of the Prospectus. The fund aims to reduce carbon emissions and stimulate the energy transition by reducing the portfolio's CO2 intensity by 50% by 2030 (with 2017 as base year) and being climate neutral by 2050, taking into account the above investment objective and the fund's restrictions. In all cases, the fund has a substantially lower weighted average CO2 intensity than the broad market index. In doing so, the fund promotes the agreements of the Paris Agreement to keep the global temperature rise below 2 degrees Celsius and to strive for a 1.5 degree global warming by 2050. The fund is actively managed.

Returns per calendar year

2024 +7.39%
2023 +15.51%
2022 -12.43%
2021 +25.73%
2020 -0.56%
Source: ASR

Fund performance

1 month +2.71%
YTD +8.42%
1 year +13.38%
3 years avg. +8.57%
5 years avg. +10.12%
Since inception
11/10/2018
+7.90%
Reference date 28/02/2025
Source: ASR

Fund data

Total Net Assets 2,648,652,361.98 (28/02/2025)
Total Net Assets of Share Class 75,362,144.22 (28/02/2025)
Number of shares 905,565.75 (28/02/2025)
Type of fund Equity funds
Currency EUR
Tradable Daily
Entry fee 0,20%
Exit fee 0,10%
Ongoing Charges Figure 0.25%

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