CIPEC SICAV
Net Asset Value (NAV) on 11/20/2008
Capital Share
(isin:  FR0000296345)
229.36   EUR


CIPEC SICAV
Investment principles
Main features
Where to find our NAV
Information

Investment in global equities.

Absolute return and long term capital growth.

French Mutual Fund.

Currency: Euros.

Date of inception: 1961

Assets: 42 M€

In the press
La Tribune

On line
www.saef.com
www.boursorama.com
www.morningstar.com

By phone
33.1.53.30.22.60

Simplified prospectus (FR)

Prospectus (FR)

Reporting

2007 simplified report


12 rue du faubourg Saint-Honoré - 75008 PARIS - Tel : 33 1 53 30 22 60 - Fax : 33 1 50 30 53 40 - www.saef.com