ISIN: LU1923623000

Basic information
- Management company.Natixis Investment Managers International
- Issue Date.2018-12-20
- Fund Size.1.03B
- Investment sector.,
- Geographic distribution.--
- Management fee rate.+1.75%
1-Week
-2.96%
1-Month
-0.03%
3-Month
+21.00%
6-Month
+11.07%
This Year
+14.43%
1-Year
+23.78%
2-Year
+13.60%
3-Year
+62.20%
5-Year
+57.13%