Sparinvest SICAV Global Value EUR R

Performance (in EUR)

Past performance is no indication of current or future performance. These performance data do not take account of the commissions and costs incurred on the issue and redemption of units.

Performance

1 month 3.66%
Current year 12.60%
3 years p.a. 16.33%
5 years p.a. 11.15%
10 years p.a. 10.68%
Since inception p.a. n.a.

Rolling performance in %

Key figures

YTD 1 year 3 years 5 years 10 years
Performance 12.60% 29.51% 57.48% 69.70% 176.00%
Maximum profit on monthly basis 5.14% 5.14% 7.87% 10.87% 14.00%
Maximum loss on monthly basis -3.66% -3.66% -5.93% -8.93% -17.76%
Max drawdown -8.04% -8.04% -18.88% -18.88% -37.40%
Volatility 12.93% 11.77% 12.99% 13.98% 16.21%
Sharpe ratio 1.95 1.80 0.96 0.61 0.60
Maximum continuous profit in months 2 8 8 8 8
Maximum continuous loss in months 1 1 3 3 3
Positive months / profit duration in months 4 11 24 37 75
Negative months / loss duration in months 1 2 13 24 46

Master data

Fund name Sparinvest SICAV Global Value EUR R
Fund management company Sparinvest S.A
Fund domicile Luxembourg
Inception date 14 December 2001
ISIN LU0138501191
Swiss security no. 1335786
Fund currency EUR
Appropriation of income accumulating
Issuing commission
Ongoing charges under PRIIP KID as at 27 February 2026 1.90%
End of financial year 31 December
Paying agent
Fund volume as at 31 March 2026 363.52 Mio. EUR
Net asset value (NAV) as at 21 May 2026 605.49 EUR

Portfolio structure

Top holdings of fund volume (in %)

AT&T 2.90%
Travelers 2.73%
Citigroup Inc. 2.66%
Wells Fargo & Co 2.40%
Hewlett Packard Enterprise Co. 2.39%
Pfizer 2.16%
!Intl Flavors/Frag 2.13%
Regions fin corp 2.11%
Kroger 2.10%
eBay Inc. 2.03%

Asset allocation

Currency

Countries

Sectors