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Performances / Constance Be World

Constance Be World

Global equities

Overview — Constance Be World I

Share class
I
Currency
EUR
Inception
08-02-2013
As of
08-10-2026
Net annualised performance (CAGR) since inception
15.80 %
Net / gross basis
Performance net of fund costs

Reference indicator: None

Cumulative performance

Constance Be World I · rebased to 100 · as of 08-10-2026

Cumulative performance — Constance Be World I · rebased to 100 · as of 08-10-2026100200400600201320162019202220252026742,2

Annual performance (YTD)

YearPerformance
2026+8.48 %
2025+13.90 %
2024+26.07 %
2023+28.88 %
2022-24.86 %
2021+19.40 %
2020+36.16 %
2019+39.64 %
2018+1.52 %
2017+11.95 %
2016+4.74 %
2015+22.77 %
2014+18.83 %
2013+24.81 %

Monthly performance

Constance Be World I

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

YearJanFebMarAprMayJunJulAugSepOctNovDecYTD
2026+1.12 %+1.23 %-6.05 %+3.41 %+5.59 %-1.35 %+2.19 %+2.02 %-0.95 %+1.42 %——+8.48 %
2025+5.75 %-0.32 %-8.25 %-0.49 %+10.27 %+1.33 %+3.33 %-0.88 %+5.29 %+3.26 %-4.01 %-1.63 %+13.90 %
2024+4.03 %+5.89 %+1.30 %-4.29 %+2.32 %+3.03 %-2.30 %+0.95 %+1.46 %+1.17 %+8.90 %+1.57 %+26.07 %
2023+9.72 %-0.18 %+4.17 %0.00 %+2.72 %+4.44 %+1.17 %-2.49 %-3.42 %-0.06 %+7.30 %+3.08 %+28.88 %
2022-9.02 %-2.75 %+1.01 %-5.80 %-5.63 %-4.29 %+11.76 %-2.48 %-6.79 %+5.17 %+1.38 %-8.77 %-24.86 %
2021-1.04 %+2.53 %+2.75 %+3.26 %-0.30 %+5.86 %+0.89 %+2.86 %-2.42 %+5.40 %-1.37 %-0.17 %+19.40 %
2020+3.97 %-6.99 %-11.24 %+15.00 %+6.93 %+5.27 %+2.19 %+9.06 %-1.80 %-2.26 %+10.51 %+3.67 %+36.16 %
2019+9.68 %+4.99 %+4.31 %+6.64 %-6.76 %+5.83 %+5.22 %-1.86 %+0.61 %-0.40 %+5.96 %+0.77 %+39.64 %
2018+5.16 %-0.47 %-2.57 %+3.57 %+6.12 %+1.57 %+2.98 %+3.17 %+0.47 %-10.97 %+1.22 %-8.30 %+1.52 %
2017+2.79 %+1.85 %+0.58 %+0.62 %+1.41 %-1.93 %+0.75 %-0.74 %+3.12 %+3.57 %+0.92 %-1.42 %+11.95 %
2016-5.27 %-1.44 %+1.15 %-0.36 %+3.46 %-0.55 %+4.76 %-0.56 %+0.12 %-0.21 %+2.62 %+1.29 %+4.74 %
2015+6.54 %+7.56 %+4.49 %+3.39 %-0.16 %-2.77 %+5.21 %-5.29 %-1.53 %+3.84 %+5.49 %-4.94 %+22.77 %
2014+0.72 %+5.25 %-3.56 %-3.30 %+4.98 %+0.75 %+0.39 %+3.62 %+1.53 %+1.27 %+5.61 %+0.60 %+18.83 %
2013—+0.41 %+2.63 %+1.56 %+5.04 %-1.76 %+5.39 %+0.95 %+5.05 %-0.84 %+3.56 %+0.70 %+24.81 %

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Important information

Past performance is not a reliable indicator of future performance. Investing in the funds involves a risk of capital loss. You should consult the PRIIPs KID and the prospectus applicable to your circumstances before subscribing. The products and services presented are available only in jurisdictions where their distribution is authorised.

For Swiss investors: fees are not included.

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