Constance AssociésPure Global Equity

European equities — PEA eligible

Constance Be Europe

The fund seeks to outperform the average performance of European equity markets, with a minimum exposure to European equities eligible for the French PEA scheme.

Latest NAV

96,045.29 EUR

As of 8 October 2026

Share class shown

Constance Be Europe I

Risk profile

4 / 7

Direct access

Objective

Constance Be Europe seeks to outperform the average performance of European equity markets over the recommended holding period.

Investment universe

Classified as a European equity fund, it is at least 75% exposed to equities issued by listed European companies that are eligible for the French PEA scheme.

Investment philosophy

The Constance investment process applied to European equities, subject to the PEA eligibility requirement.

Key characteristics

Legal form
French FCP (common fund)
Classification
European equities
PEA eligibility
Yes (at least 75% in PEA-eligible European equities)
SFDR
Article 8
Depositary
CIC (as stated on the public fund page)
Fund managers
Virginie Robert and Nicolas Lagel
Share-class currency
EUR

Holding period: Please refer to the applicable PRIIPs KID and prospectus.

SRI: 4 on the public fund page (scale from 1 to 7).

Fund management: Virginie Robert, Nicolas Lagel

Inception date: 22 November 2013

Reference indicator: None

Share classes

Share classISINCurrencyEligible investorsMinimum subscription
Share class A / EURFR0011599307EURAll investors1 share
Share class I / EURFR0014016HY5EURAll investors, particularly institutional investors1 share

Availability

  • Distribution: please refer to the prospectus and PRIIPs KID applicable to your circumstances.

SFDR

SFDR category: Article 8.

Performance

Constance Be Europe A

Currency EUR · net performance · as of 2026-10-08

YearJanFebMarAprMayJunJulAugSepOctNovDecYTD
2026+3.28 %+1.48 %-12.26 %+4.51 %+3.83 %-0.91 %+2.22 %+1.53 %-5.07 %-2.40 %——-4.91 %
2025+6.00 %+7.16 %+1.77 %-2.19 %+12.73 %+0.77 %-1.17 %-1.82 %+4.77 %+0.58 %-8.07 %+1.77 %+24.54 %
2024+1.02 %+7.29 %+3.46 %-2.49 %+2.13 %-4.77 %+0.66 %+2.74 %+3.10 %-0.63 %+0.32 %-0.46 %+8.68 %
2023+8.05 %+1.11 %+4.33 %+2.42 %-2.21 %+0.01 %+0.92 %-5.99 %-6.17 %-4.66 %+8.58 %+3.78 %+9.18 %
2022-11.23 %-1.37 %+0.64 %-1.73 %-4.06 %-6.24 %+10.11 %-2.21 %-10.79 %+6.50 %+5.80 %-5.38 %-20.24 %
2021-2.07 %+1.46 %+3.90 %+3.88 %+2.64 %+0.61 %+3.37 %+0.72 %-0.94 %+0.40 %-2.67 %+3.68 %+15.74 %
2020+0.60 %-8.96 %-12.78 %+7.48 %+7.45 %+1.15 %+0.41 %+4.70 %-1.30 %-4.13 %+12.64 %+3.44 %+8.17 %
2019+6.68 %+4.27 %+1.63 %+4.65 %-7.16 %+4.57 %+1.91 %-2.10 %-0.02 %+0.27 %+5.08 %+2.26 %+23.44 %
2018+1.74 %-4.09 %-1.98 %+3.24 %+4.94 %-2.26 %+1.17 %-0.28 %-2.92 %-10.27 %-0.30 %-6.46 %-16.98 %
2017+2.28 %+1.29 %+3.46 %+2.84 %+2.29 %-2.55 %+0.74 %-0.24 %+3.92 %+2.17 %-2.28 %+0.71 %+15.37 %
2016-7.17 %-2.48 %+2.54 %+0.07 %+4.08 %-6.01 %+5.68 %-0.04 %+0.91 %-2.83 %-0.53 %+3.94 %-2.69 %
2015+7.82 %+5.63 %+0.52 %+5.01 %-0.18 %-1.04 %+1.62 %-7.05 %-2.95 %+5.57 %+3.24 %-2.11 %+16.16 %
2014-0.27 %+3.78 %-2.31 %-1.79 %+4.18 %-2.31 %-1.59 %-1.12 %-1.63 %-0.76 %+5.02 %+0.44 %+1.27 %
2013——————————-0.21 %+1.82 %+1.61 %

Past performance is not a reliable indicator of future performance and is not constant over time. Investing in the fund involves a risk of capital loss.

Constance Be Europe I

Currency EUR · net performance · as of 2026-10-08

YearJanFebMarAprMayJunJulAugSepOctNovDecYTD
2026———-3.43 %+3.93 %-0.81 %+2.33 %+1.63 %-4.98 %-2.38 %———

Past performance is not a reliable indicator of future performance and is not constant over time. Investing in the fund involves a risk of capital loss.

Subscription documents

Regulatory documents are available in French only.

Warnings

  • Past performance is not a reliable indicator of future performance.
  • Share class I has a shorter performance history than share class A.

Information documents

Regulatory documents are available in French only.

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