Opportunity Fund

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 A profit seeking alternative for an investor with high risk tolerance

Front Opportunity Fund’s goal is to gain highest possible long-term return by diversifying assets efficiently according to the Act of Common Funds and Fund regulations. The Fund invests globally in different asset types mainly with so called ETF-products. The fund is suitable for investors whose investment horizon is long (at least five years) and whose risk tolerance is high.

 

Historical Valuation

  • A1
  • A2
  • A3
  • A4

  • Equity DM - 59.23 %
  • Cash - 10.77 %
  • Corporate Bond IG - 8.9 %
  • Equity EM - 8.02 %
  • Government Bond - 7.03 %
  • Corporate Bond HY - 6.05 %

Performance and risk summary

A1 A2 A3 A4
ISIN FI4000354063 FI4000354071 FI4000354089 FI4000354097
NAV 103.96 103.57 104.28 103.33
1 day -0.9 % -0.9 % -0.9 % -0.9 %
1 week -1.49 % -1.51 % -1.48 % -1.51 %
1 month -2.67 % -2.73 % -2.62 % -2.76 %
YTD 7.99 % 7.67 % 8.25 % 7.47 %
1 year 0 % 0 % 0 % 0 %
From start 3.96 % 3.57 % 4.28 % 3.33 %
Volatility 30 days 9.24 % 9.25 % 9.24 % 9.25 %
Volatility 1 year 9.47 % 9.48 % 9.47 % 9.48 %
Volatility from start 9.47 % 9.48 % 9.47 % 9.48 %
Sharpe ratio 0 0 0 0

Basic Information

A1 A2 A3 A4
ISIN FI4000354063 FI4000354071 FI4000354089 FI4000354097
Fund Unit Class Acc Acc Acc Acc
Minimum investment 1 mil. euros 10 000 euros 30 milj. euros 100 euros
Subscription fee 0 % 0 % 0 % 0 %
Redemption fee 0 % 0 % 0 % 0 %
Management fee 0,75 % 1,5 % 0,1 % 2 %
Custody fee 0,1 % 0,1 % 0,1 % 0,1 %
Performance fee No No No No
Ongoing charges 1,02 % 1,77 % 0,37 % 2,27 %
Risk classification 5 5 5 5

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