Lonvia Mid-Cap Euro

Lonvia Mid-Cap Euro is a fund invested in small and mid-cap companies in the Eurozone. Through a highly selective approach to securities, we invest with an asset-based vision, in companies whose business model we consider to be value-creating over the long term. The Fund meets the eligibility criteria for the PEA (French equity savings plan).






Data to 28-08-2025 YTD 1 year 3 years 5 years 10 years Creation
LONVIA Mid-Cap Euro INSTITUTIONAL +0,41% -2,85% -4,07% 0 0 -4,21%









Data to 28-08-2025 YTD 1 year 3 years 5 years 10 years Creation
LONVIA Avenir Mid-Cap Euro RETAIL -0,38% -4,00% -7,45% 0 0 -10,69%









Data to 28-08-2025 YTD 1 year 3 years 5 years 10 years Creation
LONVIA Avenir Mid-Cap Euro CLEAN SHARE +0,34% -2,95% -4,35% 0 0 -7,35%









A comparison with the benchmark index is available in the latest monthly report.


Monthly reporting


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Receive the annual or semi-annual report


Monthly reporting


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Monthly reporting


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PRIIPS DIC


Receive the annual or semi-annual report

Main positions
Sector breakdown

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Geographical distribution

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Key features
Name
Type of share INSTITUTIONAL
RETAIL
CLEAN SHARE
ISIN code LU2240056874
LU2240056445
LU2240056791
SRI label Yes
SFDR Regulations Article 9
Eligibility Life insurance, PEA
Unit launch 21/10/2020
Benchmark index MSCI EMU SMID Cap Index (NR, EUR)
Management company LONVIA Capital
Managing Director Cyrille Carrière
Product type UCITS
Legal status SICAV under Luxembourg law
Custodian CACEIS
Centralizing agent CACEIS
Auditor PWC
Subscription / redemption conditions Daily at 12:00 CET – Unknown NAV – Settlement D+2
Recommended investment period More than 5 years
Minimum investment EUR 5,000,000
1 share
EUR 50,000
Subsequent subscriptions 1 share
Fees
Entry fee (max) 2.00%
3.00%
2.00%
Exit fees (max) 0,00%
Management fee (annual) 0.90%
2.10%
1.00%
Performance fees 10% above benchmark
20% above benchmark
20% above benchmark


MARKETING PLATFORMS

Each UCI may not be suitable for all investors. The risks associated with investing in a mutual fund are described in the fund’s Prospectus and Key Information Document (DIC/DICI), which can be downloaded from this website. Please read them carefully.

A comparison with the benchmark index is available in the latest monthly report.


Monthly reporting


Brochure


PRIIPS DIC


Receive the annual or semi-annual report


Monthly reporting


Brochure


PRIIPS DIC


Receive the annual or semi-annual report


Monthly reporting


Brochure


PRIIPS DIC


Receive the annual or semi-annual report

Main positions
NEMETSCHEK AG5.95 %
ID LOGISTICS GROUP5.54 %
REPLY SPA4.86 %
WAVESTONE4.05 %
ADMICOM OYJ3.97 %
ECKERT ZIEGLER3.95 %
MENSCH UND MASCHINE SOFTWARE3.84 %
ATOSS SOFTWARE SE3.81 %
ASM INTERNATIONAL NV3.80 %
RATIONAL AG3.76 %
Total43.53 %
Sector breakdown
Geographical distribution
Key features
Name Lonvia Mid-Cap Euro
Type of share INSTITUTIONAL
RETAIL
CLEAN SHARE
ISIN code LU2240056874
LU2240056445
LU2240056791
SRI label Yes
SFDR Regulations Article 9
Eligibility Life insurance, PEA
Unit launch 21/10/2020
Benchmark index MSCI EMU SMID Cap Index (NR, EUR)
Management company LONVIA Capital
Managing Director Cyrille Carrière
Product type UCITS
Legal status SICAV under Luxembourg law
Custodian CACEIS
Centralizing agent CACEIS
Auditor PWC
Subscription / redemption conditions Daily at 12:00 CET – Unknown NAV – Settlement D+2
Recommended investment period More than 5 years
Minimum investment EUR 5,000,000
1 share
EUR 50,000
Subsequent subscriptions 1 share
Fees
Entry fee (max) 2.00%
3.00%
2.00%
Exit fees (max) 0,00%
Management fees (annual) 0.90%
2.10%
1.00%
Performance fees 10% above benchmark
20% above benchmark
20% above benchmark


MARKETING PLATFORMS

Each UCI may not be suitable for all investors. The risks associated with investing in a mutual fund are described in the fund’s Prospectus and Key Information Document (DIC/DICI), which can be downloaded from this website. Please read them carefully.


MARKETING PLATFORMS