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NAV - Performance and Documents

A threefold asset management expertise highlighted by a concentrated range

International equities, All Caps

Flexible exposure management, Eurozone equities, Large & Mid Caps

Convertible Bonds, International

At 26/03/2020
VL (€) YTD (%) 5 years (%) Documents
473,56 -7,41 -

Multi-Asset, International

Data refer to elapsed years. Past performances do not represent a reliable indicator of future performances. The UCITS presents a risk of capital loss.
Main risks are described on the UCITS page, and detailed in the prospectus.
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