Incrementum Active Gold Fund -EUR-S- EUR I EUR S EUR V

Performance

Monthly performance in %

Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Year
2026 8.44 12.91 -12.71 -2.30 0.68 -5.68 1.79 - - - - - 0.94
2025 9.58 3.78 6.71 0.57 4.36 4.48 0.26 10.97 12.69 -0.69 11.22 3.68 91.07
2024 - -2.50 13.90 3.60 6.25 -3.53 6.68 -0.29 4.05 6.31 -2.79 -4.68 28.57

Yearly performance in %

1 month 3 months 1 year 3 years 5 years since inception p.a. since inception
Fund -3.66 -6.54 43.62 - - 147.96 46.57

Fund features

Fund features on 02.07.2026

NAV: 248.46 EUR
Currency: EUR
ISIN: LI1309461450
WKN: A4032L
Bloomberg-Ticker: SMCAGES LE
Investment approach: Strategic gold allocation with active exposure management
Launch date: 15.02.2024
Fund size: 23.6 Mio. EUR
Minimum investment: 10,000,000.- EUR
Subscriptions / Redemptions: daily
Distribution policy: retention
Administrator: IFM Independent Fund Management AG
Custodian bank: Liechtensteinische Landesbank AG
Registered for sale: AT, CH, DE, LI, LU
Savings plan: possible

Costs

Subscription fee: none
Management fee: 0.500 % p.a.
Performance fee: 0.00 %
Hurdle: Outperformance vs. Gold Spot (EUR)
High water mark: yes
TER: 1.10 % (31.12.2025)
Administration and custody fee: 0.29 %

Fund allocation

Top 10 positions - 30.06.2026

WisdomTree Physical Swiss Gold ETC 8 %
DEGV 11/18/26 6 %
DEGV 09/16/26 6 %
DEGV 10/14/26 6 %
VanEck Junior Gold Miners UCITS ETF USD A 4 %
Metallkonto XAU 4 %
Deutsche Boerse Commodities Xetra-Gold ETC 4 %
KX 6.250 07/15/33 '33 4 %
ANGLD 3.375 11/01/28 '28 4 %
NEM 2.800 10/01/29 '29 4 %

Asset Allocation* - 30.06.2026

* Delta adjusted

Asset Allocation (Subcategories)* - 30.06.2026

*Delta-adjusted

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Factsheets

Constitutional and distribution documents