Our fund range allows us to meet clients’ diverse needs in active equity management, offering emerging markets, global, specialist sector, market cap, and single country strategies.
Our investment team has an in-depth experience managing bond portfolios and has the capability to offer fund solutions that meet a diverse set of client needs.
Our multi-asset strategies invest across a broad range of investment strategies. We seek to provide capital growth and diversification in challenging market environments.
- Moorea Fund - Flexible Allocation Fund
- Moorea Fund - Global Conservative Allocation Portfolio
- Moorea Fund - Global Balanced Allocation Portfolio
- Moorea Fund - Global Growth Allocation Portfolio
- Moorea Fund - Gestion Patrimoniale
- Moorea Fund - Serenity
- Moorea Fund - Target Return
- Moorea Fund - Sterling Income Focus
Our alternative fund gives you access to our selective alternative UCITS fund universe: an average of 60 funds that are rigorously assessed and closely monitored for potential investment.
« The information indicated above has no contractual value and does not constitute or contain any incentive or offer to purchase or sell any product or other specific service. This information may be modified according to market fluctuations, and the information and opinions mentioned above may change. The information indicated above is confidential, intended solely for the person to whom it is made accessible. Societe Generale Private Wealth Management S.A. ("SGPWM") may not be held liable for any consequences, notably financial, resulting from transactions on financial instruments carried out based only on this information. Although the information and opinions expressed on this website have been obtained from reliable sources, SGPWM cannot ensure the pertinence, accuracy and exhaustiveness of these data which are liable to be modified without notice. SGPWM accepts no liability for any loss or damage, including without limitation the loss or indirect or consecutive damage, resulting from or in connection with the use of information indicated on this website. The figures relating to performances (past or future) or simulations of performances (past or future) do not constitute a reliable indicator of actual future performances. This information is provided by SGPWM, the Luxembourg regulatory authority (Commission de Surveillance du Secteur Financier) having carried out no analysis, verification or control regarding its content.
The investor may lose all or some of the amount of capital invested, since undertakings for collective investment (UCI) do not have a capital guarantee. Access to the products and services presented here may be subject to restrictions with regard to certain persons or certain countries. Tax treatment depends on each individual's situation. The risks, fees and recommended investment period for the UCIs presented are described in the KIIDs (Key Investor Information Documents) and prospectuses which are available on this website. The KIID must be issued to the subscriber prior to subscription ».