Contact Info

France
5 rue du Colisée
75008 PARIS
France
United Kingdom

AXM ALTERNATIVE INVESTMENTS LTD

3rd Floor 11 Albemarle Street
W1S 4HH London
United Kingdom
Switzerland
2 rue Jean Petitot
1204 Genève
Switzerland
Italy
Via Delio Tessa, 1
20121 Milan
Italy

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Axiom European Banks Equity

Investing in financial equities with a sector specialist

Investment objective

The objective of this product is to achieve, over a minimum 5-year investment horizon, a return net of management fees similar to or greater than that of its benchmark, Stoxx Europe 600 Banks Net Return. The product considers companies with good Environmental, Social and Governance (ESG) or climate profiles.

SFDR

Art. 8

Net asset value

€3,977.44

YTD Performance

-3.78%

SRI risk profil

1 2 3 4 5 6 7

Recommended investment horizon

5 years

Data as of 26 March 2026

Antonio Roman

Portfolio Manager

Antonio Roman joined Axiom Alternative Investments in June 2018. He previously worked as a quantitative analyst at GSAM and JP Morgan Asset Management. Antonio started his career at Goldman Sachs Asset Management in the team responsible for building optimal investment solutions from economic, regulatory and accounting perspectives for institutional clients. He then moved to JP Morgan Asset Management as a quantitative analyst, where he strengthened his insurance expertise through the development of various portfolio optimization tools in a Solvency II environment. Antonio is a graduate of École Polytechnique (X2012) and ENSAE. He is also a certified member of the French Institute of Actuaries.

SRI risk scale from 1 to 7, from the lowest risk level (which does not mean risk-free) to the highest. The score indicated combines market and credit risk, and may change over time.

The Sustainable Finance Disclosure Regulation (SFDR) is a set of European rules that aims to make investment funds more comparable with each other on sustainability criteria and increase transparency for end investors. SFDR focuses on several pre-defined extra-financial indicators to assess the sustainability of the investment process on environmental, social and governance aspects

Past performance do not predict future returns

The return may increase or decrease as a result of currency fluctuations, for the shares which are not currency-hedged.

Performance history (base 1000)

Net asset value as of 26 March 2026 : €3,977.44

Axiom European Banks Equity IC EUR(v)
--
-- Since one week Since one month YTD Performance Since one year Since 3 years Since 5 years Since 10 years Since launch Since
Benchmark
--
-- Since one week Since one month YTD Performance Since one year Since 3 years Since 5 years Since 10 years Since launch Since

Benchmark

  • Since 3/9/21 to 3/26/26 : Stoxx Europe 600 Banks Net Return

Cumulated performance

Axiom European Banks Equity IC EUR(v)
Benchmark
1 month
Fund
-8.88%
Benchmark
-11.86%
YTD
Fund
-3.78%
Benchmark
-6.70%
1 year
Fund
25.90%
Benchmark
27.17%
3 years
Fund
204.71%
Benchmark
174.93%
5 years
Fund
293.88%
Benchmark
221.40%
Since inception (10 March 2021)
Fund
297.74%
Benchmark
219.42%

Data as of 26 March 2026

Annualized performance

Risk metrics

Axiom European Banks Equity IC EUR(v)
Benchmark
Period
Volatility
Sharpe ratio
3 years
Fund
44.98%
Benchmark
40.09%
5 years
Fund
31.54%
Benchmark
26.30%
Since inception
(10 March 2021)
Fund
31.45%
Benchmark
25.86%

Risk metrics

Period
1 year
Volatility
21.51%
Sharpe ratio
1.11
Period
3 years
Volatility
19.83%
Sharpe ratio
2.11
Period
5 years
Volatility
27.83%
Sharpe ratio
1.07

Data as of 26 March 2026

Calendar performance

Axiom European Banks Equity IC EUR(v)
Benchmark
2025
Fund
65.62%
Benchmark
74.98%
2024
Fund
46.73%
Benchmark
33.03%
2023
Fund
32.73%
Benchmark
26.46%
2022
Fund
2.33%
Benchmark
1.06%

Data as of 26 March 2026

Characteristics

Asset Manager
AXIOM ALTERNATIVE INVESTMENTS
Asset manager by delegation
AXM ALTERNATIVE INVESTMENTS LTD
Legal form
SICAV - UCITS
Inception date of the fund
14 January 2019
Absorption of the FCP into SICAV Axiom Lux
Date of creation of the strategy
23 March 2014
Nav frequency
Daily
Cut-off and subscription / redemption
12:00 PM CET, D+3
Capital guarantee
NO
Main risks
Liquidity Risk. Risk related to the use of financial futures instruments (IFT). Equity Risk. Capital loss. Currency risk. Use of derivatives. Sustainability risk. Operational risk. Risk associated with discretionary management
Inception date of the share class
10 March 2021
ISIN code
LU2249462958
Currency
EUR
Minimum initial subscription
250,000 EUR
Dividend policy
Capitalisation
Management fees
1.00%
Performance fees
20.00%

Fees

One-off costs (possibly charged by the distributor)

Entry costs (max.)
2.00%
This is the most you will be charged. The management company does not charge entry fees. The person selling you the product will inform you of the actual charge.
Exit costs (max.)
2.00%
This is the most you will be charged. The management company does not charge entry fees. The person selling you the product will inform you of the actual charge.

Ongoing costs (taken each year)

Management fees and other administrative and operating costs
1.21%
This figure is based on actual costs over the past year.
Portfolio transaction costs
1.46%
This is an estimate of the costs incurred when we buy or sell the underlying investments for the Product. The actual amount will vary depending on how much we buy and sell.

Incidental costs taken under specific conditions

Performance fees
1.75%
Maximum performance fees charges on the Product’s annual performance beyond the performance of the Benchmarks.

Performance scenarios

ScenariosIf you redeem after 1 year If you redeem after 5 years (recommended investment horizon)
Stressed scenario What you can expect after deduction of costs €1,070 €790
Annualised return in % -89,3% -39,8%
Unfavourable scenario Unfavourable scenario €5,960 €9,270 This scenario occurred between 30/09/2017 and 30/09/2022
Annualised return in % -40,4% -1,5%
Moderate scenario What you can expect after deduction of costs €11,560 €17,960 This scenario occurred between 31/07/2018 and 31/07/2023
Annualised return in % 15,6% 12,5%
Favourable scenario What you can expect after deduction of costs €21,460 €63,840 This scenario occurred between 31/10/2020 and 31/10/2025
Annualised return in % 114,6% 44,9%
ScenariosIf you redeem after 1 year If you redeem after 5 years (recommended investment horizon)
Stressed scenario What you can expect after deduction of costs €1,070 €790
Annualised return in % -89,3% -39,8%
Unfavourable scenario Unfavourable scenario €5,960 €8,360 This scenario occurred between 31/12/2015 and 31/12/2020
Annualised return in % -40,4% -3,5%
Moderate scenario What you can expect after deduction of costs €11,510 €17,560 This scenario occurred between 30/06/2018 and 30/06/2023
Annualised return in % 15,1% 12,0%
Favourable scenario What you can expect after deduction of costs €21,460 €63,840 This scenario occurred between 31/10/2020 and 31/10/2025
Annualised return in % 114,6% 44,9%
ScenariosIf you redeem after 1 year If you redeem after 5 years (recommended investment horizon)
Stressed scenario What you can expect after deduction of costs €1,070 €790
Annualised return in % -89,3% -39,8%
Unfavourable scenario Unfavourable scenario €5,960 €7,540 This scenario occurred between 30/11/2015 and 30/11/2020
Annualised return in % -40,4% -5,4%
Moderate scenario What you can expect after deduction of costs €11,320 €15,840 This scenario occurred between 31/05/2018 and 31/05/2023
Annualised return in % 13,2% 9,7%
Favourable scenario What you can expect after deduction of costs €21,460 €64,610 This scenario occurred between 28/10/2020 and 28/10/2025
Annualised return in % 114,6% 45,3%
ScenariosIf you redeem after 1 year If you redeem after 5 years (recommended investment horizon)
Stressed scenario What you can expect after deduction of costs €1,090 €790
Annualised return in % -89,1% -39,8%
Unfavourable scenario Unfavourable scenario €5,960 €5,660 This scenario occurred between 31/10/2015 and 31/10/2020
Annualised return in % -40,4% -10,7%
Moderate scenario What you can expect after deduction of costs €11,310 €15,800 This scenario occurred between 28/02/2018 and 28/02/2023
Annualised return in % 13,1% 9,6%
Favourable scenario What you can expect after deduction of costs €21,460 €63,840 This scenario occurred between 31/10/2020 and 31/10/2025
Annualised return in % 114,6% 44,9%
ScenariosIf you redeem after 1 year If you redeem after 5 years (recommended investment horizon)
Stressed scenario What you can expect after deduction of costs €1,090 €790
Annualised return in % -89,1% -39,8%
Unfavourable scenario Unfavourable scenario €5,960 €5,660 This scenario occurred between 31/10/2015 and 31/10/2020
Annualised return in % -40,4% -10,7%
Moderate scenario What you can expect after deduction of costs €11,200 €15,510 This scenario occurred between 30/06/2016 and 30/06/2021
Annualised return in % 12,0% 9,2%
Favourable scenario What you can expect after deduction of costs €21,460 €63,600 This scenario occurred between 30/09/2020 and 30/09/2025
Annualised return in % 114,6% 44,8%
ScenariosIf you redeem after 1 year If you redeem after 5 years (recommended investment horizon)
Stressed scenario What you can expect after deduction of costs €1,090 €790
Annualised return in % -89,1% -39,8%
Unfavourable scenario Unfavourable scenario €5,960 €5,660 This scenario occurred between 31/10/2015 and 31/10/2020
Annualised return in % -40,4% -10,7%
Moderate scenario What you can expect after deduction of costs €10,940 €15,260 This scenario occurred between 30/09/2016 and 30/09/2021
Annualised return in % 9,4% 8,9%
Favourable scenario What you can expect after deduction of costs €21,460 €62,040 This scenario occurred between 29/05/2020 and 29/05/2025
Annualised return in % 114,6% 44,1%
ScenariosIf you redeem after 1 year If you redeem after 5 years (recommended investment horizon)
Stressed scenario What you can expect after deduction of costs €1,090 €790
Annualised return in % -89,1% -39,8%
Unfavourable scenario Unfavourable scenario €5,960 €5,030 This scenario occurred between 31/07/2015 and 31/07/2020
Annualised return in % -40,4% -12,8%
Moderate scenario What you can expect after deduction of costs €10,820 €15,240 This scenario occurred between 31/10/2016 and 31/10/2021
Annualised return in % 8,3% 8,8%
Favourable scenario What you can expect after deduction of costs €21,460 €62,330 This scenario occurred between 31/05/2020 and 31/05/2025
Annualised return in % 114,6% 44,2%
ScenariosIf you redeem after 1 year If you redeem after 5 years (recommended investment horizon)
Stressed scenario What you can expect after deduction of costs €1,090 €790
Annualised return in % -89,1% -39,8%
Unfavourable scenario Unfavourable scenario €5,960 €5,030 This scenario occurred between 31/07/2015 and 31/07/2020
Annualised return in % -40,4% -12,8%
Moderate scenario What you can expect after deduction of costs €10,800 €15,120 This scenario occurred between 31/01/2017 and 31/01/2022
Annualised return in % 8,0% 8,7%
Favourable scenario What you can expect after deduction of costs €21,460 €62,330 This scenario occurred between 31/05/2020 and 31/05/2025
Annualised return in % 114,6% 44,2%
ScenariosIf you redeem after 1 year If you redeem after 5 years (recommended investment horizon)
Stressed scenario What you can expect after deduction of costs €1,090 €790
Annualised return in % -89,1% -39,8%
Unfavourable scenario Unfavourable scenario €5,960 €4,740 This scenario occurred between 31/05/2015 and 31/05/2020
Annualised return in % -40,4% -13,8%
Moderate scenario What you can expect after deduction of costs €10,740 €14,870 This scenario occurred between 30/04/2018 and 30/04/2023
Annualised return in % 7,4% 8,3%
Favourable scenario What you can expect after deduction of costs €21,460 €62,330 This scenario occurred between 30/05/2020 and 30/05/2025
Annualised return in % 114,6% 44,2%
ScenariosIf you redeem after 1 year If you redeem after 5 years (recommended investment horizon)
Stressed scenario What you can expect after deduction of costs €1,090 €790
Annualised return in % -89,1% -39,8%
Unfavourable scenario Unfavourable scenario €5,960 €4,740 This scenario occurred between 31/05/2015 and 31/05/2020
Annualised return in % -40,4% -13,8%
Moderate scenario What you can expect after deduction of costs €10,710 €14,470 This scenario occurred between 31/07/2016 and 31/07/2021
Annualised return in % 7,1% 7,7%
Favourable scenario What you can expect after deduction of costs €21,460 €58,300 This scenario occurred between 31/03/2020 and 31/03/2025
Annualised return in % 114,6% 42,3%
ScenariosIf you redeem after 1 year If you redeem after 5 years (recommended investment horizon)
Stressed scenario What you can expect after deduction of costs €1,100 €790
Annualised return in % -89,0% -39,8%
Unfavourable scenario Unfavourable scenario €5,960 €4,600 This scenario occurred between 31/03/2015 and 31/03/2020
Annualised return in % -40,4% -14,3%
Moderate scenario What you can expect after deduction of costs €10,520 €14,370 This scenario occurred between 31/08/2016 and 31/08/2021
Annualised return in % 5,2% 7,6%
Favourable scenario What you can expect after deduction of costs €21,460 €58,300 This scenario occurred between 31/03/2020 and 31/03/2025
Annualised return in % 114,6% 42,3%
ScenariosIf you redeem after 1 year If you redeem after 5 years (recommended investment horizon)
Stressed scenario What you can expect after deduction of costs €1,090 €610
Annualised return in % -89,1% -42,8%
Unfavourable scenario Unfavourable scenario €5,960 €4,600 This scenario occurred between 31/03/2015 and 31/03/2020
Annualised return in % -40,4% -14,3%
Moderate scenario What you can expect after deduction of costs €10,500 €14,350 This scenario occurred between 31/03/2018 and 31/03/2023
Annualised return in % 5,0% 7,5%
Favourable scenario What you can expect after deduction of costs €21,460 €45,240 This scenario occurred between 29/02/2020 and 28/02/2025
Annualised return in % 114,6% 35,3%
ScenariosIf you redeem after 1 year If you redeem after 5 years (recommended investment horizon)
Stressed scenario What you can expect after deduction of costs €1,090 €590
Annualised return in % -89,1% -43,2%
Unfavourable scenario Unfavourable scenario €5,960 €4,600 This scenario occurred between 31/03/2015 and 31/03/2020
Annualised return in % -40,4% -14,3%
Moderate scenario What you can expect after deduction of costs €10,420 €14,310 This scenario occurred between 31/01/2018 and 31/01/2023
Annualised return in % 4,2% 7,5%
Favourable scenario What you can expect after deduction of costs €21,460 €38,760 This scenario occurred between 31/08/2019 and 31/08/2024
Annualised return in % 114,6% 31,2%

Past performance do not predict future returns

This fund presents a risk of capital loss

The return may increase or decrease as a result of currency fluctuations, for the shares which are not currency-hedged.