Source : HOMA CAPITAL
MTD: Month To Date.
3Y*, 5Y* : annualized returns, in calendar year.
ITD: Inception to Date.
Source : HOMA CAPITAL
MTD: Month To Date.
3Y*, 5Y* : annualized returns, in calendar year.
ITD: Inception to Date.
In a nutshell
This strategy aims to improve the social factor of the companies in which the fund is a shareholder through a long-term commitment and a Social Impact Committee composed of personalities acknowledged in the management of the Quality of Life at Work.
HOMA Social Impact France invests in about twenty stocks with a market capitalization of between 50 million and 5 billion euros. The selection is made through a fundamental stock picking process combined with a Best in Class and Best Effort ESG approach. The resulting portfolio takes a positive approach to enhancing the value of both the human capital and the companies it holds.
Particular attention is paid to the extra-financial management of the companies in the portfolio by setting up a Social Impact Committee. This committee is made up of well-known experts in the field of QWL (Quality of Life at Work) whose role is to validate the awareness plan for each entity, to monitor it and to alert the investment committee if the potential for progress in a company’s human capital seems limited.
The members of the Committee are Jean-Claude Mailly (Equality and Social Dialogue), Dr. Jean-Martin Cohen-Solal (Health and Work Organization) and Karine Melloul (Management and Career Development), also directors of HOMA CAPITAL.
The fund has been awarded the “Label Relance” and is a candidate for the SRI label, and falls under Article 9 of the SFDR regulations.
Disclaimer :
– Total subscriptions are limited to 100 million euros.
– Subscription orders for units of the FCP will no longer be accepted after the centralization of 31/03/2023**.
– Holders’ assets are blocked for a minimum period of 5 years. No redemption request will be accepted before April 2, 2028.
** In any case, total subscriptions may not exceed 100 million euros.
Risk level
Higher risk is associated with greater probability of higher return and lower risk with a greater probability of smaller return. You may not recover the amount originally invested. Before taking any investement decision, please carefully read the prospectus available below.
Management team
CFA
ANALYST / PORTFOLIO MANAGER
ANALYST / PORTFOLIO MANAGER
Performance
Evolution of the net asset value since inception
Past performance does not guarantee future performance.
Past performance does not guarantee future performance.
Characteristics
LEGAL FORM
Alternative Investment Fund (AIF) under French law constituted as a FPS (Specialized Professional Fund)
CURRENCY
Euro
INCEPTION DATE
2021
ASSET CLASS
Equities
ELIGIBILITY
Institutional Investors
ISIN CODE
FR00140059Y7
RECOMMENDED INVESTMENT PERIOD
At least 5 years
DISTRIBUTION POLICY
Capitalization
NAV CALCULATION
Daily
ORDER RECEPTION DEADLINE
Before 4:00pm CET, 1 business day before the relevant NAV date
CUSTODIAN
Société Générale S.A.
FUND VALUATION
Société Générale S.A.
AUDITOR
PricewaterhouseCoopers
LEGAL FORM
Alternative Investment Fund (AIF) under French law constituted as a FPS (Specialized Professional Fund)
CURRENCY
Euro
INCEPTION DATE
2021
ASSET CLASS
Equities
ELIGIBILITY
Institutional Investors
ISIN CODE
FR00140059Z4
RECOMMENDED INVESTMENT PERIOD
At least 5 years
DISTRIBUTION POLICY
Capitalization
NAV CALCULATION
Daily
ORDER RECEPTION DEADLINE
Before 4:00pm CET, 1 business day before the relevant NAV date
CUSTODIAN
Société Générale S.A.
FUND VALUATION
Société Générale S.A.
AUDITOR
PricewaterhouseCoopers
- Class SI EUR
-
LEGAL FORM
Alternative Investment Fund (AIF) under French law constituted as a FPS (Specialized Professional Fund)
CURRENCY
Euro
INCEPTION DATE
2021
ASSET CLASS
Equities
ELIGIBILITY
Institutional Investors
ISIN CODE
FR00140059Y7
RECOMMENDED INVESTMENT PERIOD
At least 5 years
DISTRIBUTION POLICY
Capitalization
NAV CALCULATION
Daily
ORDER RECEPTION DEADLINE
Before 4:00pm CET, 1 business day before the relevant NAV date
CUSTODIAN
Société Générale S.A.
FUND VALUATION
Société Générale S.A.
AUDITOR
PricewaterhouseCoopers
- Class I EUR
-
LEGAL FORM
Alternative Investment Fund (AIF) under French law constituted as a FPS (Specialized Professional Fund)
CURRENCY
Euro
INCEPTION DATE
2021
ASSET CLASS
Equities
ELIGIBILITY
Institutional Investors
ISIN CODE
FR00140059Z4
RECOMMENDED INVESTMENT PERIOD
At least 5 years
DISTRIBUTION POLICY
Capitalization
NAV CALCULATION
Daily
ORDER RECEPTION DEADLINE
Before 4:00pm CET, 1 business day before the relevant NAV date
CUSTODIAN
Société Générale S.A.
FUND VALUATION
Société Générale S.A.
AUDITOR
PricewaterhouseCoopers
Management fees
MANAGEMENT FEE
0.90% maximum
ADDITIONAL EXTERNAL FEE
0.10%
SUBSCRIPTION AND REDEMPTION FEES
N/A
ONGOING CHARGES
MANAGEMENT FEE
1.20% maximum
ADDITIONAL EXTERNAL FEE
0.10%
SUBSCRIPTION AND REDEMPTION FEES
N/A
ONGOING CHARGES
Legal documents
Prospectus (French version) available upon request via email contact@homacapital.fr
Annual report (2023) – French version only
Periodic disclosure 2023 – French version only
Marketing documents
Reporting September 2024 (French version only)
Reporting September 2024 (French version only)
- Class SI
-
Reporting September 2024 (French version only)
- Class I
-
Reporting September 2024 (French version only)