| As of 24/10/2017 | ||
|---|---|---|
| YTD | NAV | Fund AUM |
| 8.41% | 2543.04 EUR | 768.33M EUR |

Get ahead with high-quality equity investments while absorbing market shocks, thanks to:
A strategy that aims to capture the longterm growth of European businesses, while reducing the impact of equity market volatility. Investing in the shares of profitable and financially strong companies. Creating a fund focused on diversification.
1. The Sub-Fund does not offer any performance or capital guarantee.
Risk level
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Notation - September 2017
Amundi Funds Equity Europe Conservative draws on ten years of experience to deliver equity yields without the typical equity market volatility.
Amundi has developed an equity strategy which seeks to minimise the impact of major market drawdowns by focusing on portfolio diversification and rigorous stock selection. With an excellent track record spanning close to 10 years, the strategy has demonstrated its ability to generate returns whilst mitigating losses. To achieve this investment team focuses identifying established mid and large cap companies with high profitability across a diverse range of sectors in order to minimise portfolio volaitlity.
Amundi's conservative approach seeks to invest in companies that have proven their ability to both hold up during market downturns and perform when growth returns.
Melchior Dechelette - Head of Risk Efficiency Solutions at Amundi
How to subscribe AMUNDI FUNDS EQUITY EUROPE CONSERVATIVE
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A Conviction-based management to outperform the reference indicator MSCI Europe (dividend reinvested), representative of the main companies in each European country and sector.
Past performance is not indicative of future returns.


