Società: Natixis AM Funds

Fondo Valore Var % Data
NAT. AM CONSERVATIVE RISK PARITY R/A CAP EUR 117,4100 0,07% Data15/09/2025
NAT. AM CONSERVATIVE RISK PARITY R/D DIS EUR 119,1253 0,08% Data15/09/2025
NAT. AM CONSERVATIVE RISK PARITY RE/A CAP EUR 107,0900 0,07% Data15/09/2025
NAT. AM CONSERVATIVE RISK PARITY RE/D DIS EUR 104,6949 0,07% Data15/09/2025
NAT. AM OSTRUM CREDIT SHORT DUR. R/A CAP EUR 111,8400 0,04% Data15/09/2025
NAT. AM OSTRUM CREDIT SHORT DUR. R/D DIS EUR 91,1768 -0,12% Data12/10/2022
NAT. AM OSTRUM CREDIT SHORT DUR. RE/A CAP EUR 106,3300 0,05% Data15/09/2025
NAT. AM OSTRUM EURO HIGH DIVIDEND EQ. R/A CAP EUR 0
NAT. AM OSTRUM EURO INFLATION R/A CAP EUR 47,7500 0,13% Data15/09/2025
NAT. AM OSTRUM EURO INFLATION RE/A CAP EUR 0
NAT. AM OSTRUM EUROPE MINVOL EQ. R/A CAP EUR 2.461,7600 -0,36% Data15/09/2025
NAT. AM OSTRUM EUROPE MINVOL EQ. R/D DIS EUR 148,6109 -0,36% Data15/09/2025
NAT. AM OSTRUM EUROPE MINVOL EQ. RE/A CAP EUR 142,2800 -0,36% Data15/09/2025
NAT. AM OSTRUM EUROPE MINVOL EQ. RE/D DIS EUR 12,1457 0,38% Data27/09/2018
NAT. AM OSTRUM GL. EMERGING BONDS R/A CAP $ 162,6700 0,16% Data15/09/2025
NAT. AM OSTRUM GL. EMERGING BONDS R/A CAP EUR 116,2600 -0,10% Data15/09/2025
NAT. AM OSTRUM GL. EMERGING BONDS R/AH CAP EUR HDG 437,5400 0,15% Data15/09/2025
NAT. AM OSTRUM GL. EMERGING BONDS R/D DIS $ 0
NAT. AM OSTRUM GL. EMERGING BONDS RE/A CAP EUR 11,4117 -0,01% Data27/09/2018
NAT. AM OSTRUM GL. EMERGING BONDS RE/A CAP EUR 10,7440 -0,03% Data27/09/2018
NAT. AM OSTRUM GL. EMERGING BONDS RE/AH DIS EUR H 10,4850 -0,03% Data27/09/2018
NAT. AM OSTRUM GLOBAL MINVOL EQ. R/A CAP EUR 246,0500 -0,33% Data15/09/2025
NAT. AM OSTRUM GLOBAL MINVOL EQ. R/D DIS EUR 132,0548 -0,33% Data15/09/2025
NAT. AM OSTRUM GLOBAL MINVOL EQ. RE/A CAP EUR 135,2800 -0,33% Data15/09/2025
NAT. AM OSTRUM GLOBAL MINVOL RE/D DIS EUR 10,4902 0,12% Data27/09/2018
NAT. AM OSTRUM SRI EURO AGGREGATE R/A CAP EUR 143,5200 0,13% Data15/09/2025
NAT. AM OSTRUM SRI EURO AGGREGATE R/D DIS EUR 125,2159 0,14% Data15/09/2025
NAT. AM OSTRUM SRI EURO AGGREGATE RE/A CAP EUR 108,4900 0,13% Data15/09/2025
NAT. AM OSTRUM SRI EURO AGGREGATE RE/D DIS EUR 73,3920 0,12% Data15/09/2025
NAT. AM OSTRUM TOT RET CONSERV. R/A CAP EUR 119,1200 0,24% Data15/09/2025
NAT. AM OSTRUM TOT RET CONSERV. RE/A CAP EUR 111,8800 0,23% Data15/09/2025
NAT. AM OSTRUM TOT RET CONSERV. RE/D DIS EUR 98,0268 0,24% Data15/09/2025
NAT. AM OSTRUM TOT RET DYNAMIC R/A CAP EUR 1.424,4100 0,47% Data15/09/2025
NAT. AM OSTRUM TOTAL RETURN CREDIT R/A CAP EUR 112,3500 0,06% Data15/09/2025
NAT. AM OSTRUM TOTAL RETURN SOVEREIGN R/A CAP EUR 7.619,7900 0,00% Data15/09/2025
NAT. AM OSTRUM TOTAL RETURN SOVEREIGN RE/A CAP EUR 13,8352 -0,21% Data27/09/2018