AC One Planet ELTIF

Verified by Asset Manager
Last verified: Jan 12, 2026

Overview

The AC One Planet ELTIF makes direct investments in a diversified portfolio of renewable energy and infrastructure assets. The fund covers a broad spectrum: from photovoltaics, wind energy, and hydropower to energy storage systems, energy efficiency, and energy infrastructure. As an Article 9 fund, it pursues a sustainable investment objective focused on climate protection, targeting return expectations of 5 to 6 percent p.a. and expected distributions exceeding 4 percent p.a. With a risk indicator of 4 and a recommended holding period of 5 years, the fund is suitable for investors with a medium risk tolerance and a long-term perspective.

Fund Name
AC One Planet ELTIF
AIFM
Alter Domus Management Company S.A.
Depositary
Banque et Caisse d`Epargne de l´Etat, Luxemburg (Spuerkeess)
Competent Authority
Commission de Surveillance du Secteur Financier (CSSF), Luxembourg
Authorization Date
20.11.23
ELTIF Regime
ELTIF 2.0
Investor Type
RETAIL + PRO
Marketed States
Austria, Germany, Liechtenstein, Luxembourg
Rec. Holding Period
5 years
Risk Indicator
4 / 7

Strategy

Asset Classes
InfrastructureRenewable Energy
Geographic Focus
Focus on Europe, Longterm up to 20% in APAC
Investment Type
Direct Investments
Max. Fund of Funds
10%
SFDR Classification
Art. 9
ESG Minimum
80%
Taxonomy Minimum
50%

Liquidity

Fund Type
Open Ended Fund
Subscription Liquidity
Monthly
Redemption Liquidity
Monthly
Lock-up Period
24 Months
Notice Period
365 Days
Redemption Fee
0%
Min. Liquidity (RTS)
20%

Share Class Information

ISIN
LU2696795579
Currency
EUR
Minimum Investment
€1
Distribution Policy
Reinvesting
Hedging
No
Expected Net Return
5.05%
Annual Cost Impact
2.82%
Available at
No information available

Detailed Costs

Entry Fee
4%
Exit Fee
None
Management Fee
1.6%
Transaction Costs
0.26%
Performance Fee
None
Hurdle Rate
None

Performance Scenarios

Exit after 1 year
Stress Scenario
-33.33%
Pessimistic Scenario
-13.57%
Medium Scenario
3.97%
Optimistic Scenario
19.16%
Exit after 5 years
Stress Scenario
-12.08%
Pessimistic Scenario
-4.17%
Medium Scenario
5.05%
Optimistic Scenario
9.59%
Scenario
Exit after 1 year
Exit after 5 years
Stress Scenario
-33.33%
-12.08%
Pessimistic Scenario
-13.57%
-4.17%
Medium Scenario
3.97%
5.05%
Optimistic Scenario
19.16%
9.59%

There is no guaranteed minimum return. You could lose your investment completely or partially.

The returns shown are annualized and net of costs.