Our funds

Fund name
Net asset valueAUM (millions)ReportingPRIIPS KIDSRISustainability (SFDR* Classification) (1)Cumulative net returns
YTD
1 Year
3 Years
5 Years
€126.29
9/23/2026
331.99
9/23/2026
-
3
Art. 8
6.22%
9/23/2026
5.87%
9/23/2026
2.46%
9/23/2026
-10.44%
9/23/2026
$107.36
9/23/2026
331.99
9/23/2026
-
4
Art. 8
3.11%
9/23/2026
2.33%
9/23/2026
9.61%
9/23/2026
-13.10%
9/23/2026
$106.53
9/23/2026
331.99
9/23/2026
-
3
Art. 8
3.12%
9/23/2026
2.33%
9/23/2026
9.61%
9/23/2026
-13.06%
9/23/2026
€115.95
9/23/2026
331.99
9/23/2026
-
3
Art. 8
5.44%
9/23/2026
4.81%
9/23/2026
-0.57%
9/23/2026
-14.82%
9/23/2026
$101.88
9/23/2026
331.99
9/23/2026
-
4
Art. 8
2.36%
9/23/2026
1.30%
9/23/2026
6.36%
9/23/2026
-17.30%
9/23/2026
€136,165.12
9/23/2026
331.99
9/23/2026
-
3
Art. 8
6.98%
9/23/2026
6.92%
9/23/2026
5.40%
9/23/2026
-6.39%
9/23/2026
$125.96
9/23/2026
331.99
9/23/2026
-
3
Art. 8
3.88%
9/23/2026
3.36%
9/23/2026
12.82%
9/23/2026
-9.06%
9/23/2026
 
10