Our funds

Fund name
NAVAUM (millions)Monthly FactsheetPRIIPS KIDSRISFDR Classification (1)Cumulative net returns
YTD
1 Year
3 Years
5 Years
€112.63
9/17/2026
123.53
9/17/2026
-
2
Art. 8
0.02%
9/17/2026
0.63%
9/17/2026
14.22%
9/17/2026
8.39%
9/17/2026
€115.15
9/17/2026
123.53
9/17/2026
-
2
Art. 8
0.22%
9/17/2026
0.85%
9/17/2026
15.07%
9/17/2026
9.73%
9/17/2026
 
10