Hermes Linder Fund SICAV

winner of

Past performance is no guarantee of future results. The LSEG Lipper Fund Awards, granted annually, highlight funds and fund companies that have excelled in delivering consistently strong risk-adjusted performance relative to their peers. The LSEG Lipper Fund Awards are based on the Lipper Leader for Consistent Return rating, which is a risk-adjusted performance measure calculated over 36, 60 and 120 months. The fund with the highest Lipper Leader for Consistent Return (Effective Return) value in each eligible classification wins the LSEG Lipper Fund Award. For more information, see lipperfundawards.com. Although LSEG makes reasonable efforts to ensure the accuracy and reliability of the data contained herein, their accuracy is not guaranteed by LSEG Lipper. From LSEG Lipper Fund Awards © 2025 LSEG. All rights reserved. Used under license. https://www.lipperfundawards.com/Awards/Europe/2025/Fund. From Thomson Reuters Lipper Awards, ©2018 Refinitiv. All rights reserved. Used by permission and protected by the Copyright Laws of the United States. The printing, copying, redistribution, or retransmission of this content without express written permission is prohibited.

nav FREQUENCY DAILY

nav date

24/04/2025

Hermes

Linder Fund

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Class A Institutional Price

€10,454.292

Since Inception

+945.43%

YTD

+12.49%

5 YR Performance

+148.07%

Compounded annual growth rate from 30/11/2003

+11.58%

nav FREQUENCY BI-MONTHLY

nav date 14/04/2025

Altinum

FUND

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Class A Institutional Price

€158.934

Since Inception

+58.93%

YTD

+0.67%

5 YR Performance

+38.19%

Compounded annual growth rate from inception until 14/04/2025

+4.44%

nav FREQUENCY BI-MONTHLY

nav date 14/04/2025

Total Return

FUND

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Class A Institutional Price

€1,739.55

Since Inception

+73.96%

YTD

+4.36%

5 YR Performance

+123.27%

Compounded annual growth rate from inception until 14/04/2025

+8.33%

nav FREQUENCY: EVERY 2-MONTHS

nav date 28/02/2025

Micro & Small Cap

FUND

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Class A Institutional Price

€1,210.34

Since Inception [25/07/2023]

+21.03%

NAV Change

+7.91%

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Fund Management

PAM provides fund management services to UCITS and Alternative Investor Funds.

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Individual Portfolio Management

PAM offers discretionary portfolio management services to professional clients, with a strong emphasis on meeting clients’ needs.

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Investment Advisory Services

PAM is also licensed to offer professional advisory services with respect to investment decisions relating to funds and investments.

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Our
Philosophy

Praude was conceived from the idea that the professional management of a portfolio could be beneficial to an investor only if and to the extent that the management of those assets effectively achieves consistent positive performance.

Bearing in mind the risks involved, the performance of the assets we manage is expected to surpass those of relevant indices. Investment managers who simply track indices do not require any particular expertise to do so and this strategy in our view does not justify the costs involved in setting up a collective investment scheme. Therefore, investing in a risk-free portfolio, assuming that such investments do exist, would not require any particular skills nor the employment of qualified investment managers.

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