Natixis AM Funds - Ostrum SRI Total Return Dynamic Fund I/A(EUR) Fonds
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WKN DE: A2PW2V / ISIN: LU1335434814
Nettoinventarwert (NAV)
15 197,02 EUR | -26,96 EUR | -0,18 % |
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Vortag | 15 223,98 EUR | Datum | 06.01.2025 |
Anlagepolitik
So investiert der Natixis AM Funds - Ostrum SRI Total Return Dynamic Fund I/A(EUR) Fonds: The investment objective of the sub-fund is to outperform the daily-capitalized €STR over its recommended minimum investment period of 5 years by more than 6.00 % with a target 1-year volatility based on weekly data comprised between 6% and 9%. For hedged Share Classes, the daily-capitalized €STR is adjusted to the difference between the relevant Share Class currency interest rate and the Euro zone interest rate (Euribor 1 month) over its recommended minimum investment period of 5 years by more than 6.00 % with a target 1-year volatility based on weekly data comprised between 6% and 9%. The Sub-Fund is actively managed. The Sub-Fund's performance may be compared to the Reference Index.
Natixis AM Funds - Ostrum SRI Total Return Dynamic Fund I/A(EUR) Fonds aktueller Kurs
15 132,70 EUR | -64,32 EUR | -0,42 % |
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Datum | 07.01.2025 |
Vortag | 15 132,70 EUR |
Börse | Sonstiges |
Rating für Natixis AM Funds - Ostrum SRI Total Return Dynamic Fund I/A(EUR) Fonds
€uro FondsNote | - |
Fonds Performance: Natixis AM Funds - Ostrum SRI Total Return Dynamic Fund I/A(EUR) Fonds
Performance 1 Jahr | 8,24 | |
Performance 2 Jahre | 11,81 | |
Performance 3 Jahre | -2,82 | |
Performance 5 Jahre | 7,66 | |
Performance 10 Jahre | 25,15 |
Fundamentaldaten
WKN | A2PW2V |
ISIN | LU1335434814 |
Name | Natixis AM Funds - Ostrum SRI Total Return Dynamic Fund I/A(EUR) Fonds |
Fondsgesellschaft | Natixis Investment Managers International |
Aufgelegt in | Luxembourg |
Auflagedatum | 24.01.2017 |
Kategorie | Mischfonds EUR flexibel - Global |
Währung | EUR |
Volumen | 55 408 103,46 |
Depotbank | Brown Brothers Harriman (Lux) SCA |
Zahlstelle | |
Fondsmanager | Didier Jauneaux, Stéphanie Bigou, Frank Trividic |
Geschäftsjahresende | 30.06. |
Berichtsstand | 08.01.2025 |
Konditionen
Ausgabeaufschlag | 0,00 % |
Verwaltungsgebühr | % |
Depotbankgebühr | % |
VL-fähig? | Nein |
Mindestanlage | 50 000,00 |
Ausschüttung | Thesaurierend |
Fondsgesellschaft
Name | Natixis Investment Managers International |
Postfach | 43, avenue Pierre Mendès-France |
PLZ | 75013 |
Ort | Paris |
Land | |
Telefon | +33 1 78408000 |
Fax | |
Internet | http://www.im.natixis.com |