Società: NATIXIS International Funds (Lux) I

Fondo Valore Var % Data
NAT EMERISE LATIN AMERICA EQUITY R DIS $ 18,8600 0,05% Data27/09/2018
NAT HARRIS ASS. GLOBAL EQUITY CW/A CAP EUR 100,0000 Data03/08/2023
NAT HARRIS ASS. GLOBAL EQUITY H-CW/A CAP EUR 100,0000 Data03/08/2023
NAT HARRIS ASS. GLOBAL EQUITY HRE CAP EUR 158,9900 0,84% Data14/04/2026
NAT HARRIS ASS. GLOBAL EQUITY N EUR 0
NAT HARRIS ASS. GLOBAL EQUITY R CAP $ 481,0800 0,84% Data14/04/2026
NAT HARRIS ASS. GLOBAL EQUITY R CAP EUR 408,9400 0,00% Data14/04/2026
NAT HARRIS ASS. GLOBAL EQUITY R DIS $ 448,5803 0,85% Data14/04/2026
NAT HARRIS ASS. GLOBAL EQUITY RE/A CAP EUR 254,2000 0,55% Data17/02/2026
NAT HARRIS ASS. U.S. VALUE EQUITY I/A CAP SGD 224,9500 0,03% Data14/04/2026
NAT HARRIS ASS. U.S. VALUE EQUITY R CAP EUR 537,2900 -0,49% Data14/04/2026
NAT HARRIS ASS. U.S. VALUE EQUITY R CAP. $ 634,2400 0,35% Data14/04/2026
NAT HARRIS ASS. U.S. VALUE EQUITY R DIS $ 461,6850 0,35% Data14/04/2026
NAT HARRIS ASS. U.S. VALUE EQUITY RE/A CAP EUR 100,0000 Data03/08/2023
NAT HARRIS ASS. U.S. VALUE EQUITY S/A CAP EUR 0
NAT LOOMIS SAYLES ASIA BOND PLUS R/A CAP $ 0
NAT LOOMIS SAYLES ASIA BOND PLUS R/A CAP EUR 0
NAT LOOMIS SAYLES ASIA BOND PLUS RE/A CAP EUR 0
NAT LOOMIS SAYLES ASIA BOND PLUS RE/D DIS EUR 0
NAT LOOMIS SAYLES GLOBAL ALLOCATION R/A CAP EUR 135,0200 0,88% Data13/04/2026
NAT LOOMIS SAYLES GLOBAL ALLOCATION RE/A CAP EUR 0
NAT LOOMIS SAYLES GLOBAL CREDIT H-R/D DIS EUR 0
NAT LOOMIS SAYLES GLOBAL CREDIT HR EUR 88,6900 0,07% Data13/04/2026
NAT LOOMIS SAYLES GLOBAL CREDIT R CAP $ 151,9800 0,03% Data13/04/2026
NAT LOOMIS SAYLES GLOBAL CREDIT R CAP EUR 130,8500 0,18% Data13/04/2026
NAT LOOMIS SAYLES GLOBAL GROWTH EQUITY R CAP EUR 220,7500 1,88% Data13/04/2026
NAT LOOMIS SAYLES GLOBAL GROWTH EQUITY RE EUR 0
NAT LOOMIS SAYLES SAKORUM LS GROWTH EQ. I/A $ 0
NAT LOOMIS SAYLES SAKORUM LS GROWTH EQ. R CAP $ 124,5000 1,01% Data13/04/2026
NAT LOOMIS SAYLES SAKORUM LS GROWTH EQ. R/A CAP EUR 0
NAT LOOMIS SAYLES SH. TERM EM. MKTS BD HR CAP EUR 104,3000 0,03% Data13/04/2026
NAT LOOMIS SAYLES SH. TERM EM. MKTS BD HR DIS EUR 105,3012 0,03% Data13/04/2026
NAT LOOMIS SAYLES SH. TERM EM. MKTS BD HRE CAP EUR 97,7100 0,03% Data13/04/2026
NAT LOOMIS SAYLES SH. TERM EM. MKTS BD R $ 127,2900 0,03% Data13/04/2026
NAT LOOMIS SAYLES SH. TERM EM. MKTS BD R DIS $ 128,9728 0,03% Data13/04/2026
NAT LOOMIS SAYLES SH. TERM EM. MKTS BD RE CAP $ 120,7100 0,02% Data13/04/2026
NAT LOOMIS SAYLES SUST.GL.CORP.BOND RE/A CAP $ 0
NAT LOOMIS SAYLES U.S. CORE PLUS BOND H-R EUR 86,3900 0,20% Data13/04/2026
NAT LOOMIS SAYLES U.S. CORE PLUS BOND R CAP $ 116,3800 0,20% Data13/04/2026
NAT LOOMIS SAYLES U.S. CORE PLUS BOND R DIS $ 111,0603 0,20% Data13/04/2026
NAT LOOMIS SAYLES U.S. CORE PLUS BOND RE CAP $ 113,1400 0,20% Data13/04/2026
NAT LOOMIS SAYLES U.S. CORE PLUS BOND RE DIS $ 100,7173 0,21% Data13/04/2026
NAT LOOMIS SAYLES U.S. GROWTH EQ. F CAP $ 387,0000 2,29% Data14/04/2026
NAT LOOMIS SAYLES U.S. GROWTH EQ. R CAP EUR 283,6200 1,43% Data14/04/2026
NAT LOOMIS SAYLES U.S. GROWTH EQ. RE/A EUR 100,0000 Data03/08/2023
NAT MIROVA THEMATIC AI & ROBOTICS H-I/A CAP EUR 181,1100 1,98% Data14/04/2026
NAT MIROVA THEMATIC AI & ROBOTICS H-N/A CAP EUR 205,1200 1,97% Data14/04/2026
NAT MIROVA THEMATIC AI & ROBOTICS H-R/A CAP EUR 171,8100 1,97% Data14/04/2026
NAT MIROVA THEMATIC AI & ROBOTICS H-RE/A CAP EUR 238,1100 1,98% Data14/04/2026
NAT MIROVA THEMATIC AI & ROBOTICS N/A EUR 0