BFT CAPITAL PEA - P (C) ISIN : FR0013391901

BFT CAPITAL PEA - P (C)
Asset class: Balanced

YTD
As of 01/09/2026
0.95%

Risk IndicatorThe level of risk of the fund mainly reflects the risk of the market in which the fund is invested and, as the case may be, the leveraging strategy or inverse performance of the index. The capital initially invested does not benefit from any guarantee. The current level of risk does not indicate the future level of risk and may change over time. The lowest risk level is not equal to a risk-free investment.
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Lower Risk
Higher Risk
The risk indicator assumes you keep the product according to the holding period.

NAV
As of 01/09/2026
€107.08

SFDR ClassificationSustainable Finance Disclosure Regulation
Art. 6

Fund AUM
As of 01/09/2026
€62.73M

NAVs

NAV from 04/15/2019 to 09/01/2026
Select period
Created with Highcharts 11.4.8BFT CAPITAL PEA - P (C)Jul '19Jan '20Jul '20Jan '21Jul '21Jan '22Jul '22Jan '23Jul '23Jan '24Jul '24Jan '25Jul '25Jan '26Jul '269698100102104106108

Performance

Change in NAV in base 100
FundBFT CAPITAL PEA - P (C) (7.08% over the period)
Select period
Created with Highcharts 11.4.8ABBFT CAPITAL PEA - P (C)BenchmarkJul '19Jan '20Jul '20Jan '21Jul '21Jan '22Jul '22Jan '23Jul '23Jan '24Jul '24Jan '25Jul '25Jan '26Jul '2695100105110115
A. "During this period, the fund's strategy was based on managing a portion eligible for the PEA and a portion exposed to international equity, interest rate, and currency markets."B. "Starting from 05/01/2024, the mutual fund has adopted the investment strategy currently being implemented."Performance published and achieved before the date of the change corresponds to a different strategy from the current one.
FundBFT CAPITAL PEA - P (C) (7.08% over the period)
Select period
Created with Highcharts 11.4.8ABBFT CAPITAL PEA - P (C)BenchmarkJul '19Jan '20Jul '20Jan '21Jul '21Jan '22Jul '22Jan '23Jul '23Jan '24Jul '24Jan '25Jul '25Jan '26Jul '2695100105110115
A. "During this period, the fund's strategy was based on managing a portion eligible for the PEA and a portion exposed to international equity, interest rate, and currency markets."B. "Starting from 05/01/2024, the mutual fund has adopted the investment strategy currently being implemented."Performance published and achieved before the date of the change corresponds to a different strategy from the current one.

Portfolio Analysis

Repartition

Characteristics

General data

Inception date
15/04/2019
First Nav Date
15/04/2019
Currency
EUR
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Valuation
Daily
Minimum initial investment
1 share(s)
Minimum additional investment
1 10/1000° share(s)/equity

Costs Composition

One-off costs upon entry or exit (Investment EUR 10,000)If you exit after 1 year
Entry costsWe do not charge an entry fee for this product.€0
Exit costsWe do not charge an exit fee for this product, but the person selling you the product may do so.€0.00
Ongoing costs taken each year (Investment EUR 10,000)
Management fees and other administrative or operating costs0.25% of the value of your investment per year. This percentage is based on actual costs over the last year.€25.40
Transaction costs0.38% of the value of your investment per year. This is an estimate of the costs incurred when we buy and sell the underlying investments for the product. The actual amount will vary depending on how much we buy and sell.€37.54
Incidental costs taken under specific conditions (Investment EUR 10,000)
Performance fees

20.00% annual outperformance of the reference asset 100% ESTR CAPITALISE + 0.735% (BASE 360). The calculation applies on each Net Asset Value calculation date in accordance with the terms described in the prospectus. Past underperformances over the last 5 years should be clawed back before any new accrual of performance fee.The actual amount will vary depending on how well your investment performs. The aggregated cost estimation above includes the average over the last 5 years.

The performance fee is paid even if the performance of the share over the performance observation period is negative, while remaining higher than the performance of the Reference Asset.

€0.00

Codification

ISIN code
FR0013391901
Bloomberg code
BFTPEAP FP
Reuters code

Investment Objective

Documents

LanguageDocumentsTypeClosing Date
FR
PDF
01/09/2026
PDF
28/02/2026
PDF
01/04/2026
WORD
31/08/2025
FR
PDF
01/11/2025
PDF
31/07/2026
FR
PDF
01/10/2025
This site does not constitute in any way a solicitation or an offer to buy or sell securities. The information it contains is intended to inform the subscriber by supplementing certain financial characteristics of the OPC appearing in the Key Information Document (KID PRIIPs) or in the prospectus. As a result, this information is inevitably partial and is subject to change. The KID PRIIPs or the prospectus must be offered to subscribers prior to subscription, provided upon subscription and made available to the public upon request, as well as the latest financial statements available.
Data relating to past performance does not take into account any entry fees and exit fees on subscriptions and redemptions of units. These fees may impact past performance.
The funds and securities mentioned above are in no way sponsored, recommended or promoted by the sponsor of the reference index or benchmark used. The sponsor of the reference index or benchmark is not legally and legally responsible for the funds, securities, indices or any funds or securities on which these are based.
References of the local representative or paying agent from whom the legal documents are available free of charge: CACEIS Bank France 1-3, place Valhubert 75013 Paris.