Nos fonds

Nom du fonds
Valeur Liquidative (VL)Actif net compReporting mensuelPRIIPS KIDSRIDurabilité (Classification SFDR) (1)Rendements nets cumulés
YTD
1 an
3 ans
5 ans
8 787,62 CZK
07/10/2026
175,93
07/10/2026
-
4
Art. 8
-18,43%
07/10/2026
-16,86%
07/10/2026
0,28%
07/10/2026
-25,03%
07/10/2026
Code ISIN LU2036816820
101,09 €
07/10/2026
175,93
07/10/2026
4
Art. 8
-13,63%
07/10/2026
-12,23%
07/10/2026
-2,70%
07/10/2026
-22,70%
07/10/2026
86,49 €
07/10/2026
175,93
07/10/2026
-
4
Art. 8
-13,63%
07/10/2026
-12,23%
07/10/2026
-2,69%
07/10/2026
-22,87%
07/10/2026
Code ISIN LU2384387564
26 758,79 HUF
07/10/2026
175,93
07/10/2026
-
4
Art. 8
-17,63%
07/10/2026
-18,27%
07/10/2026
-7,93%
07/10/2026
-
101,17 €
07/10/2026
175,93
07/10/2026
-
4
Art. 8
-13,77%
07/10/2026
-12,41%
07/10/2026
-3,40%
07/10/2026
-23,62%
07/10/2026
Code ISIN LU2036817984
99,87 €
07/10/2026
175,93
07/10/2026
-
4
Art. 8
-14,30%
07/10/2026
-13,10%
07/10/2026
-5,57%
07/10/2026
-26,39%
07/10/2026
Code ISIN LU2036818289
95,72 $US
07/10/2026
175,93
07/10/2026
-
4
Art. 8
-16,74%
07/10/2026
-14,51%
07/10/2026
7,94%
07/10/2026
-19,66%
07/10/2026
Code ISIN LU2036817398
106,98 €
07/10/2026
175,93
07/10/2026
4
Art. 8
-12,97%
07/10/2026
-11,36%
07/10/2026
0,21%
07/10/2026
-19,28%
07/10/2026
-
4
Art. 8
-
-
-
-
103,14 £GB
07/10/2026
175,93
07/10/2026
-
4
Art. 8
-15,48%
07/10/2026
-13,40%
07/10/2026
-1,39%
07/10/2026
-18,46%
07/10/2026
 
10