Gay-Lussac Green Impact is a stock picking fund mainly invested in European stocks (small to large caps). We select stocks that tend to respond to both ecological and economic issues. The management objective, over a minimum investment horizon of 5 years, is to offer a net annualized performance superior to its reference indicator, the Stoxx Europe 600 Total Return.

Restructured in December 2019, Gay-Lussac Green Impact offers its investors a defensive investment process while integrating environmental, social and governance (ESG) criteria in the investment process. Through Gay-Lussac Green Impact, we wish to offer recurring performance to outperform over the long term and to enhance “buy and hold” value.

In the short term, we wish to label this fund in order to highlight its ESG/SRI commitment.

Downloads

DICI

  • 2021

Monthly reports

  • October 2021

  • September 2021

  • August 2021

  • July 2021

  • May 2021

  • April 2021

Management team

Louis de FELS
Managing Director - Head of Asset Management, Partner
Hugo VOILLAUME, CFA
Financial Analyst
Guillaume BUHOURS
Financial Analyst
Paul EDON
Financial analyst
Thibaut MAISSIN
Financial analyst

Performances

1M

1.97 %

3M

1.16 %

1Y

25.93 %

3Y

54.5 %

5Y

62.96 %

YTD

17.6 %

MAX

97.14 %

From
to

Calendar performances (%)

Gay-Lussac Green Impact Stoxx Europe 600 TR
2021 17.6 20.72
2020 14.77 -4.04
2019 22.03 23.16
2018 -14.31 -
2017 9.61 -
2016 -0.24 -
2015 17.75 -
2014 -4.55 -
2013 19.35 -
2012 22.38 -
2011 -9.99 -
2010 15.61 -
2009 31.27 -
2008 -43.98 -
2007 - -

Cumulated performances (%)

Gay-Lussac Green Impact Stoxx Europe 600 TR
3 mois 1.16 2.09
2021 17.6 20.72
1 an 25.93 22.86
3 ans 54.5 36.09
5 ans 62.96 -
10 ans 173.38 -
Création 97.14 -

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Features

Legal format
UCITS Fund
Classification AMF
Shares of the European Union countries
Launch date
A Share: 3rd of June 2005
I Share : 11 of april 2007
R Share : 18 of december 2020
ISIN Codes
A Share : FR0010178665
I Share : FR0010182352
R Share : FR0014000EI9
Benchmark Index
Stoxx Europe 600 Total Return
Valorisation
Daily
Currency
€uro
Recommended investment horizon
5 years et +
Risk Exposure/ SRRI
⬤⬤⬤⬤⬤⭘⭘
Custodian
Société Générale
Management fees
A Share : 2,32% of net asset
I Share : 0,96% of net asset
R Share : 1,40% of net asset
Performance fees
(High Water Mark)
12% including tax of the annual performance over 7%
Entry/Exit fees
Entry fees: 2% maximum
Exit fees (UCITS acquired): None