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ACATIS AI Global Equities

Global equity fund, from artificial intelligence, defensive

Investment philosophy

The philosophy of the fund is to combine the topics of value investing and artificial intelligence. The AI is to be enabled to take over the analytical work of a value investor for all companies and industries worldwide. Two company-specific data sources are to be used for this purpose: the figures in the annual reports and management discussions with analysts in text form. Stock selection is based on a pairwise bottom-up analysis of the companies in the respective sector. The regional and sector allocation is based on the weightings of the MSCI World Index. Artificial intelligence is responsible for stock selection in the fund.

 

Announcement: Amendment to the General Terms and Conditions of Investment, April 2025

 

Current reports on ACATIS AI Global Equities


Continuous innovation: Our new stock selection algorithm, 31.12.2024

Rebalancing report April 2025, 30.04.2025


Product data

Investment company ACATIS Investment
Domicil Germany
Custodian Hauck Aufhäuser Lampe Privatbank AG
Investment category Equities Global
Fiscal year end 30.06.

Key data

Share class A

Repurchase price 164,34 EUR (24.07.2025)
Security code number A2DR2L
Isin DE000A2DR2L2
Benchmark MSCI World NTR EUR
Distribution Dividends distributed
Date of inception November 23, 20
Front end fee 5%
Minimum Investment none
Permission for public distribution Germany, Austria, Portugal, Switzerland, France

Share class B

Repurchase price 1.698,61 EUR (24.07.2025)
Security code number A2DMV7
Isin DE000A2DMV73
Benchmark MSCI World NTR EUR
Distribution Dividends distributed
Date of inception June 28, 2017
Front end fee 5%
Minimum Investment 50.000 Euro
Permission for public distribution Germany, Austria, France, Portugal, Switzerland, Netherlands

Share class C

Repurchase price 1.720,09 EUR (24.07.2025)
Security code number A2DMV8
Isin DE000A2DMV81
Benchmark MSCI World NTR EUR
Distribution Dividends distributed
Date of inception June 27, 2017
Front end fee 5%
Minimum Investment 2,000,000 Euro for initial investment
Permission for public distribution Germany, France, Netherlands

Share Class X

Repurchase price 112,61 EUR (24.07.2025)
Security code number A3E18U
Isin DE000A3E18U6
Benchmark MSCI World NTR EUR
Distribution Dividends reinvested
Date of inception January 17, 202
Front end fee currently 0%
Minimum Investment none
Permission for public distribution Germany, Netherlands

FUND AWARD 2025

TYPO3\CMS\Extbase\Domain\Model\FileReference:16207

2nd place over 5 years (A)

Downloads

Daily Report
Share class A
Share class B
Share class C
Share Class X
Monthly Report
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Share class B
Share class C
Share Class X
KIID in English or German
Share class A
KIID NL
Share class B
Share class C
Share Class X
KIID PT
Share class A
Share class B
Yield Triangle
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Opportunities / Risks
ESG-Annex
Semi-Annual Report
Annual Report
Prospectus
CEPT
Share Class X
EET
Share class A
Share class B
Share class C
EMT
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Share class B
Share class C
Share Class X
EPT
Share Class X
Performance Scenarios
Share class A
Share class B
Share class C
Share Class X
Presentation of past performance (KID) NL
Share class B
Share class C
Share Class X
Presentation of past performance (KID) EN
Share class A
Presentation of past performance (KID) PT
Share class A
Share class B
SFDR article 10 EN
SFDR article 10 PT