Sycomore Sélection Crédit
- SFDR
-
Art.81
-
Sustainable Inv. Exposure
-
min. 50%
- SRI risk profile
-
3
- NAV as of 02.12.2026
- $ 129.62
- YTD performance
- +1.92 %
A responsible and opportunistic selection of European bonds based on proprietary ESG analysis
Sycomore Sélection Crédit aims to deliver financial returns above those of the Bloomberg Euro Aggregate Corporate Ex-Financials TR over a minimum investment horizon of five years, within a modified duration range of 0 to +5, by applying a socially responsible investment process. The fund also aims to outperform its benchmark on the Net Environmental Contribution (NEC) indicator and on the 3-year headcount variation indicator, to select durable companies, particularly on environmental and/or contribution to employment criteria.
- Asset class
- Bonds
- Region
- Europe / Eurozone
- Market capitalisation size
- All caps
- SRI labels
- Yes
- ISIN code
- FR0012950574
- Legal form
- French law FCP
- Inception date
- November 5, 2015
- Benchmark
- BLOOMBERG EURO CORP EX FIN USD
- Investment horizon
- 5 years
- Risk of capital loss
- Yes
Track record
Stanislas de Bailliencourt
Emmanuel de Sinety
Nicholas Campello
Anaïs Cassagnes
Performance as of 02.12.2026
Characteristics
Classification
- Capitalisation
- Capitalisation
- Fund currency
- Euro
- UCITS V
- Yes
- PEA Eligibility
- No
Subscriptions & redemptions
- Trades
- Daily
- NAV frequency
- Daily
- Centralising agent
- BNPP Securities Services
- Settlement
- T+3
Management fees
- Admin and management fees
- 1.2%
- Performance fees
- 10% above benchmark
- Subscription fees
- 3% maximum
- Redemption fees
- nil
- Transaction fees
- nil