Carmignac Pf Credit A EUR Acc
Investment Fund – Carmignac Gestion Luxembourg S.A. – NAV History & Analysis
Morningstar
157.77 EUR
NAV as of 18/03/2026
Carmignac Pf Credit A EUR Acc
157.77
EUR
Carmignac Gestion Luxembourg S.A.
NAV history of Carmignac Pf Credit A EUR Acc
NAV history of Carmignac Pf Credit A EUR Acc
Performance & Momentum
6 Months
0.79 %
1 Year
4.55 %
3 Years
26.95 %
5 Years
13.03 %
Risk (SRRI)
2/7
Management fee
0.01%
PEA eligible
No
Last update
18/03/2026
Similar Funds
Track your funds
with precision
With Investor and Expert plans, track your funds in your portfolios and benefit from AI analysis, correlation metrics, and momentum scoring on this asset class.
- Multi-asset portfolio tracking (stocks, ETFs, funds)
- Momentum and correlation analysis
- AI-powered investment insights