Nos fonds
Nom du fonds | Valeur Liquidative (VL) | Actifs gérés (millions) | Reporting mensuel | KID PRIIPS | SRI | Classification SFDR (1) | Rendements nets cumulés | |||
|---|---|---|---|---|---|---|---|---|---|---|
Début d'année | 1 an | 3 ans | 5 ans | |||||||
Code ISIN LU1989771529 | 112,76 € 23/09/2026 | 123,10 23/09/2026 | - | 2 | Art. 8 | 0,52% 22/09/2026 | 0,65% 22/09/2026 | 15,10% 22/09/2026 | 8,99% 22/09/2026 | |
Code ISIN LU1989772097 | 115,81 € 23/09/2026 | 123,10 23/09/2026 | - | 2 | Art. 8 | 0,78% 22/09/2026 | 0,91% 22/09/2026 | 16,30% 22/09/2026 | 10,86% 22/09/2026 | |
Code ISIN LU1989772170 | 115,28 € 23/09/2026 | 123,10 23/09/2026 | - | 2 | Art. 8 | 0,71% 22/09/2026 | 0,81% 22/09/2026 | 15,96% 22/09/2026 | 10,33% 22/09/2026 | |
- (1) Sustainable Finance Disclosure Regulation
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