ELIA Eurozone Focus Fund -EUR-I-

LI1390873159

General fund information

Launch date of fund
13.01.2025
Fund volume
06.02.2026
EUR 19’258’876.23
Launch date of unit class
13.01.2025
Fund volume of unit class
06.02.2026
EUR 18’052’979.80
Legal form
unit trust

Category

Investment category
Shares
Investment universe
Europe-zone
UCITS target fund
yes
SFDR Classification
Article 6

Identification numbers

ISIN
LI1390873159
Security number
139087315
WKN
A40WBN
Bloomberg
ELIAEUI LE
REUTERS
139087315X.CHE
Legal Entity Identifier
529900QL3SMQNRY0LJ45

Commissions and charges

Management fee
max. 0.85%
Issue premium
max. 3%
Redemption charge
0%
Redemption charge credited to the fund’s assets
0%
OGC / TER 1
1.60%
Performance-related fee
0.81%
TER 2
2.41%
OGC/TER at
30.06.2025

Settlement information

Valuation interval
daily
Valuation day
Daily, Monday to Friday
Acceptance deadline for subscriptions
Day prior to valuation day by no later than 4.00pm (CET)
Acceptance deadline for redemptions
Day prior to valuation day by no later than 4.00pm (CET)
Minimum investment
EUR 500'000.--
Value date
T + 2

Net asset value

Current NAV
06.02.2026
EUR 1’166.13
Previous NAV
05.02.2026
EUR 1’167.05
Mean
06.02.2026
EUR 1’077.17
Median
06.02.2026
EUR 1’085.77
Highest NAV (last 12 months)
05.02.2026
EUR 1’167.05
Lowest NAV (last 12 months)
07.04.2025
EUR 937.09
Highest NAV (since inception)
05.02.2026
EUR 1’167.05
Lowest NAV (since inception)
07.04.2025
EUR 937.09

Additional key figures

SRI according to KID
06.05.2025

Measures of risk

1 YearInception
Annualised Volatility11.44%11.07%
Sharpe Ratio1.181.21
% Positive54.10%154.58%1
Worst Period-5.15%-5.15%
Best Period3.25%3.25%
Maximum Drawdown-11.69%-11.69%
Number of observations244262
legend
1daily