Società: LAZARD FRERES GESTION SAS

Fondo Valore Var % Data
LAZARD 2030 RC EUR 111,1400 0,44% Data01/04/2026
LAZARD 2030 RD EUR 103,2818 0,44% Data01/04/2026
LAZARD CAPITAL FI SRI RVC EUR 0
LAZARD CAPITAL FI SRI RVD DIS EUR 138,9482 0,72% Data01/04/2026
LAZARD CONVERTIBLE EUROPE PC CAP EUR HDG 18.160,2402 0,90% Data01/04/2026
LAZARD CREDIT FI SRI RVC CAP EUR 417,3500 0,43% Data01/04/2026
LAZARD CREDIT FI SRI RVD DIS EUR 250,4453 0,43% Data01/04/2026
LAZARD CREDIT FI SRI TC CAP EUR 265,5600 0,43% Data01/04/2026
LAZARD EQUITY RECOVERY R EUR 160,5200 0,19% Data14/05/2024
LAZARD EURO CORPORATE HIGH YIELD PVC EUR 2.195,7600 0,57% Data01/04/2026
LAZARD EURO SHORT DURATION SRI IC CAP EUR 0
LAZARD EURO SHORT DURATION SRI ID DIS EUR 0