Investment philosophy

The fund aims for sustainability. Only issuers that fulfil ethical-sustainability criteria and comply with high standards with respect to social, business and ecological responsibility and environmental sustainability are accepted. These are companies with regard to entrepreneurial, social and ecological responsibility and ecological sustainability, and which are chosen in accordance with the very strict criteria pursuant to Article 9 of the EU Disclosure Regulation. Individual sustainability objectives are taken into account on the basis of continuous discussions with investors. Moreover, each title also pursues at least one of the sustainable development goals of the United Nations (SDGs). The fund invests globally in stocks, REITs, bonds, profit participation certificates and other innovative investment instruments, such as income trusts or certificates that contain financial indices, stocks, interest rates and foreign currency as the underlying asset.


Key data

Share class A

Repurchase price67,78 EUR (01.10.2024)
Security code numberA0LHCM
IsinLU0278152516
Investment categoryBalanced Multi Asset
CurrencyEUR
Investment CompanyACATIS Investment
CustodianHauck Aufhäuser Lampe Privatbank AG, Niederlassung Luxemburg
DomicilLuxembourg
Front end fee

up to 5%

DistributionDividends distributed
Minimum Investmentnone
Permission for public distributionGermany, Austria, Switzerland, Luxembourg, Netherlands, France, Norway, Sweden
Date of inceptionJanuary 12, 2007
Fiscal year endDec. 31

Share class B

Repurchase price136,76 EUR (01.10.2024)
Security code numberA0MX2R
IsinLU0313800228
Investment categoryBalanced Multi Asset
CurrencyEUR
Investment CompanyACATIS Investment
CustodianHauck Aufhäuser Lampe Privatbank AG, Niederlassung Luxemburg
DomicilLuxembourg
Front end fee

up to 5%

DistributionDividends reinvested
Minimum Investmentnone
Permission for public distributionGermany, Austria, Switzerland, Luxembourg, Netherlands, France
Date of inceptionJanuary 12, 2007
Fiscal year endDec. 31

Share class I

Repurchase price7.830,22 EUR (01.10.2024)
Security code numberA0LHCL
IsinLU0278152862
Investment categoryBalanced Multi Asset
CurrencyEUR
Investment CompanyACATIS Investment
CustodianHauck Aufhäuser Lampe Privatbank AG, Niederlassung Luxemburg
DomicilLuxembourg
Front end fee

up to 0.5%

DistributionDividends distributed
Minimum Investment100,000 Euro for initial investment
Permission for public distributionGermany, Austria, Switzerland, Luxembourg, Netherlands, France
Date of inceptionJanuary 12, 2007
Fiscal year endDec. 31

Share class S

Repurchase price807,37 EUR (01.10.2024)
Security code numberA0LHCK
IsinLU0278153084
Investment categoryBalanced Multi Asset
CurrencyEUR
Investment CompanyACATIS Investment
CustodianHauck Aufhäuser Lampe Privatbank AG, Niederlassung Luxemburg
DomicilLuxembourg
Front end fee

up to 0.5%

DistributionDividends distributed
Minimum Investment10,000 Euro for initial investment
Permission for public distributionGermany, Austria, Switzerland, Luxembourg, Netherlands, France, Norway, Sweden
Date of inceptionJanuary 12, 2007
Fiscal year endDec. 31

Share class V

Repurchase price152,99 EUR (01.10.2024)
Security code numberA2N9ZR
IsinLU1904802086
Investment categoryBalanced Multi Asset
CurrencyEUR
Investment CompanyACATIS Investment
CustodianHauck Aufhäuser Lampe Privatbank AG, Niederlassung Luxemburg
DomicilLuxembourg
Front end fee

0%

DistributionDividends reinvested
Minimum Investment5,000,000 EUR
Permission for public distributionGermany, Austria, Switzerland, Luxembourg, Netherlands, France, Norway, Sweden
Date of inceptionDecember 28, 2018
Fiscal year endDec. 31

Share Class CHF-I

Repurchase price97,08 CHF (01.10.2024)
Security code numberA2N9ZS
IsinLU1904802169
Investment categoryBalanced Multi Asset
CurrencyCHF
Investment CompanyACATIS Investment
CustodianHauck Aufhäuser Lampe Privatbank AG, Niederlassung Luxemburg
DomicilLuxembourg
Front end fee

up to 0,5%

DistributionDividends distributed
Minimum Investment100,000 CHF
Permission for public distributionGermany, Austria, Switzerland, Luxembourg
Date of inceptionDecember 28, 2018
Fiscal year endDec. 31

Share class X

Repurchase price90,16 EUR (01.10.2024)
Security code numberA3DGJC
IsinLU2451779768
Investment categoryBalanced Multi asset
CurrencyEUR
Investment CompanyACATIS Investment
CustodianHauck Aufhäuser Lampe Privatbank AG, Niederlassung Luxembourg
DomicilLuxembourg
Front end fee

0%

DistributionDividends reinvested
Minimum Investmentnone
Permission for public distributionLuxembourg, Switzerland, Germany, Austria, Netherlands, France
Date of inceptionApril 4, 2022
Fiscal year endDec. 31

Funds Video

FNG-Label

TYPO3\CMS\Extbase\Domain\Model\FileReference:8203

Downloads

Daily Report
Share class A
Share class B
Share class I
Share class S
Share class V
Share Class CHF-I
Share class X
Monthly Report
Share class A
Share class B
Share class I
Share class S
Share class V
Share Class CHF-I
Share class X
Key Information Document (KID) NL
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Share class B
Share class I
Share class S
Share class V
Share class X
Key Information Document (KID) No
Share class A
Share class S
Share class V
Key Information Document (KID) Se
Share class A
Share class S
Share class V
Yield Triangle
Share class A
Share Class CHF-I
Opportunities / Risks
ESG-Annex
Semi-Annual Report
Annual Report
Prospectus
CEPT
Share class A
Share class I
Share class S
Share Class CHF-I
EET
Share class A
Share class B
Share class I
Share class S
Share class V
Share Class CHF-I
Share class X
EMT
Share class A
Share class B
Share class I
Share class S
Share class V
Share Class CHF-I
Share class X
EPT
Share class I
Share class S
Share class V
Share Class CHF-I
Performance Scenarios
Share class A
Share class B
Share class S
Share class V
Share Class CHF-I
Share class X
Presentation of past performance (KID) NL
Share class A
Share class B
Share class I
Share class S
Share class V
Share class X
Presentation of past performance (KID) SE
Share class A
Share class S
Share class V
SFDR article 10 NL
SFDR article 10 EN
SFDR article 10 NO
SFDR article 10 SE