Fund Data

Mellinckrodt 2 SICAV - German Opportunities 100-T

Fund Data
Asset class
100-T
ISIN
LU0914398671
WKN
A1T72D
Dividend policy
accumulation
Investment company
Mellinckrodt 2 SICAV
Domicile
Luxembourg
Asset category
UCITS equity fund (Flex Cap Europe) with focus on Switzerland and Germany
Administrative company
IPConcept (Luxemburg) S.A.
Custodian bank
DZ PRIVATBANK S.A.
Fund manager
Greiff capital management AG
Investment consultant
Mellinckrodt & Cie. AG
Inception date
December 20, 2013
End of fiscal year
December 31
Currency
EUR
Fees
Subscription fee
up to 2.00%
Redemption fee
0%
Fund management fee
up to 1.00% p.a.
Administrative fee
up to 0.10% p.a. plus EUR 5,000 p.a.
Custodian fee
up tp 0.05% p.a.
Performance fee
up to 12% of the outperformance exceeding 1,5% absolute performance; charged quarterly (high water mark)
Minimum investment
EUR 200,000
Stay up-to-date

Sign up to receive the latest news and insights from Mellinckrodt.

You may opt out at any time.

© 2018 Mellinckrodt 2 SICAV ・ 4, rue Thomas Edison ・ L-1445 Strassen, Luxembourg