Sycomore Partners
- SFDR
 - 
                                        Art.81
 - 
                                        Sustainable Inv. Exposure
 - 
                                       min. 50%
 - SRI risk profile
 - 
                                    3
 
- NAV as of 10.31.2025
 - € 1,681.48
 - YTD performance
 - +8.66 %
 
Sycomore Partners is a concentrated stock picking fund with variable equity exposure of between 0% and 100%. It seeks significant returns over a 5-year investment horizon with a concentrated selection of highly discounted European stocks, and opportunistic, discretionary management of equity market exposure. The fund focus on companies with sustainable themes and those whose commitments reflect a dynamic of transformation towards a more sustainable economic model.
- Asset class
 - Equities
 - Region
 - Europe / Eurozone
 - Market capitalisation size
 - All caps
 - SRI labels
 - No
 
- ISIN code
 - FR0012758779
 - Legal form
 - French law FCP
 - Inception date
 - June 8, 2015
 - Benchmark
 - 50% ESTR + 50% STOXX EUROPE 600 NR
 - Investment horizon
 - 5 years
 - Risk of capital loss
 - Yes
 
Track record
Pierre-Alexis Dumont
Tarek Issaoui
Anne-Claire Imperiale
Performance as of 10.31.2025
Characteristics
Classification
- Distribution &/or capitalisation
 - Distribution &/or capitalisation
 - Fund currency
 - Euro
 - UCITS V
 - Yes
 - PEA Eligibility
 - Yes
 
Subscriptions & redemptions
- Trades
 - Daily
 - NAV frequency
 - Daily
 - Centralising agent
 - BNPP Securities Services
 - Settlement
 - T+2
 
Management fees
- Fixed fees
 - 1% (This rate is based on the portion of assets invested in equities)
 - Performance fees
 - 15% above ESTER Capitalised + 3% with High Water Mark
 - Subscription fees
 - 5% maximum
 - Redemption fees
 - nil
 - Transaction fees
 - nil