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Natixis Asset Management provides a full range of products and investment solutions in all asset classes for institutional investors, companies, distributors and banking networks.

Fund name
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Share - ISIN
   
Asset class
   
Net Asset Value (NAV)
   
Performance
   
MorningStar Rating *
   
Documents

30 OPCVM found

  1. 1
  2. 2
Emerise Global Emerging Equity
MS EMERGING MARKETS IMI DNR €
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NAV:

YTD Performance*:

Total net assets:

I (C) EUR - LU0935236520
Equity
13,999.99 EUR
14/12/2017
Upward" 24.72 %
18.13 %
14/12/2017

★★★★


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NAV:

YTD Performance*:

Total net assets:

I (D) EUR - LU0935236959
Equity
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

R (C) EUR - LU0935237098
Equity
133.38 EUR
14/12/2017
Upward" 23.84 %
18.13 %
14/12/2017

★★★


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NAV:

YTD Performance*:

Total net assets:

R (D) EUR - LU0935237254
Equity
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

(C) EUR - LU1118022893
Equity
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

H-N (C) CHF - LU1118023271
Equity
---
-
---
---

None

H2O Lux Allegro
No official benchmark
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NAV:

YTD Performance*:

Total net assets:

I (C) EUR - LU1336068314
---
140.56 EUR
14/12/2017
Upward" 24.59 %
-0.34 %
14/12/2017

None


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NAV:

YTD Performance*:

Total net assets:

R (C) EUR - LU1336068405
---
143.89 EUR
14/12/2017
Upward" 24.00 %
-0.34 %
14/12/2017

None

H2O Lux Multibonds
No official benchmark
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NAV:

YTD Performance*:

Total net assets:

I (C) EUR - LU1335434574
Fixed Income
131.90 EUR
14/12/2017
Upward" 20.64 %
-4.16 %
14/12/2017

None


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NAV:

YTD Performance*:

Total net assets:

R (C) EUR - LU1335434657
Fixed Income
127.89 EUR
14/12/2017
Upward" 19.77 %
-4.16 %
14/12/2017

None


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NAV:

YTD Performance*:

Total net assets:

R (D) EUR - LU1335434731
Fixed Income
126.15 EUR
14/12/2017
Upward" 19.82 %
-4.16 %
14/12/2017

None

Mirova Euro Green&Sustainable Bond Fund
BBGB EURO AG 500M TR €
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NAV:

YTD Performance*:

Total net assets:

I (C) EUR - LU0914734537
Fixed Income
11,947.25 EUR
14/12/2017
Upward" 1.68 %
1.48 %
14/12/2017

★★★★


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NAV:

YTD Performance*:

Total net assets:

I (D) EUR - LU0914734610
Fixed Income
101.46 EUR
14/12/2017
Upward" 1.68 %
1.48 %
14/12/2017

None


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NAV:

YTD Performance*:

Total net assets:

R (C) EUR - LU0914734701
Fixed Income
117.69 EUR
14/12/2017
Upward" 1.26 %
1.48 %
14/12/2017

★★★


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NAV:

YTD Performance*:

Total net assets:

R (D) EUR - LU0914734883
Fixed Income
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

(D) EUR - LU0914735187
Fixed Income
111.65 EUR
14/12/2017
Upward" 1.55 %
1.48 %
14/12/2017

★★★


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NAV:

YTD Performance*:

Total net assets:

H-N (C) CHF - LU1133062031
Fixed Income
101.73 CHF
14/12/2017
---
---

None

Mirova Euro Green&Sustainable Corporate Bond Fund
BBGB EURO AG CP TR €
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NAV:

YTD Performance*:

Total net assets:

I (C) EUR - LU0552643685
Fixed Income
187.08 EUR
14/12/2017
Upward" 1.93 %
2.96 %
14/12/2017

★★★


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NAV:

YTD Performance*:

Total net assets:

I (D) EUR - LU0552643768
Fixed Income
125.90 EUR
14/12/2017
Upward" 1.93 %
2.96 %
14/12/2017

★★★


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NAV:

YTD Performance*:

Total net assets:

R (C) EUR - LU0552643842
Fixed Income
174.18 EUR
14/12/2017
Upward" 1.50 %
2.96 %
14/12/2017

★★★


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NAV:

YTD Performance*:

Total net assets:

R (D) EUR - LU0552643925
Fixed Income
100.92 EUR
14/12/2017
---
---

None


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NAV:

YTD Performance*:

Total net assets:

(D) EUR - LU0914734370
Fixed Income
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

H-N (C) CHF - LU1133061579
Fixed Income
---
-
---
---

None

Mirova Euro Sustainable Equity Fund
MS EMU DNR €
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NAV:

YTD Performance*:

Total net assets:

I (C) EUR - LU0914731780
Equity
73,075.34 EUR
14/12/2017
Upward" 11.76 %
13.47 %
14/12/2017

★★★


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NAV:

YTD Performance*:

Total net assets:

I (D) EUR - LU0914731863
Equity
63,767.92 EUR
14/12/2017
Upward" 11.79 %
13.47 %
14/12/2017

★★★★


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NAV:

YTD Performance*:

Total net assets:

R (C) EUR - LU0914731947
Equity
109.57 EUR
14/12/2017
Upward" 10.89 %
13.47 %
14/12/2017

★★★


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NAV:

YTD Performance*:

Total net assets:

R (D) EUR - LU0914732085
Equity
131.70 EUR
14/12/2017
Upward" 10.89 %
13.47 %
14/12/2017

★★★


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NAV:

YTD Performance*:

Total net assets:

(C) EUR - LU0914732325
Equity
142.81 EUR
14/12/2017
Upward" 12.41 %
13.47 %
14/12/2017

★★★★


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NAV:

YTD Performance*:

Total net assets:

H-N (C) CHF - LU1133054798
Equity
---
-
---
---

None

Mirova Europe Environmental Equity Fund
MS EUROPE DNR €
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NAV:

YTD Performance*:

Total net assets:

I (C) EUR - LU0914732671
---
15,031.46 EUR
14/12/2017
Upward" 11.74 %
10.16 %
14/12/2017

★★★★


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NAV:

YTD Performance*:

Total net assets:

I (D) EUR - LU0914732754
---
---
-
Downward" -3.05 %
10.16 %
27/12/2016

None


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NAV:

YTD Performance*:

Total net assets:

R (C) EUR - LU0914733059
---
131.14 EUR
14/12/2017
Upward" 10.99 %
10.16 %
14/12/2017

★★★


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NAV:

YTD Performance*:

Total net assets:

R (D) EUR - LU0914733133
---
---
-
Upward" 6.30 %
10.16 %
07/06/2017

None


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NAV:

YTD Performance*:

Total net assets:

(C) EUR - LU0914733646
---
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

H-N (C) CHF - LU1133055092
---
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

R (C) CHF - LU0914733307
---
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

I (C) CHF - LU0914732911
---
---
-
---
---

None

Mirova Europe Real Estate Securities Fund
FTSE EPRA EUROPE CAPPED DNR€
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NAV:

YTD Performance*:

Total net assets:

I (C) EUR - LU1133058278
---
---
-
Downward" -4.43 %
10.20 %
07/10/2016

★★★


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NAV:

YTD Performance*:

Total net assets:

I (D) EUR - LU1133058435
---
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

R (C) EUR - LU1133059169
---
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

R (D) EUR - LU1133059243
---
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

(C) EUR - LU1133060415
---
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

H-N (C) CHF - LU1133060928
---
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

R (C) CHF - LU1133059839
---
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

I (C) CHF - LU1133058948
---
---
-
---
---

None

Mirova Europe Sustainable Equity Fund
MS EUROPE DNR €
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NAV:

YTD Performance*:

Total net assets:

I (C) EUR - LU0552643099
Equity
370.24 EUR
14/12/2017
Upward" 8.89 %
10.16 %
14/12/2017

★★★


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NAV:

YTD Performance*:

Total net assets:

I (D) EUR - LU0552643172
Equity
354.94 EUR
14/12/2017
Upward" 8.90 %
10.16 %
14/12/2017

★★★


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NAV:

YTD Performance*:

Total net assets:

R (C) EUR - LU0552643339
Equity
326.20 EUR
14/12/2017
Upward" 8.04 %
10.16 %
14/12/2017

★★


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NAV:

YTD Performance*:

Total net assets:

R (D) EUR - LU0552643412
Equity
321.00 EUR
14/12/2017
Upward" 7.99 %
10.16 %
14/12/2017

★★


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NAV:

YTD Performance*:

Total net assets:

(C) EUR - LU0914731517
Equity
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

H-N (C) CHF - LU1133054368
Equity
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

R (C) CHF - LU0914731350
Equity
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

I (C) CHF - LU0914731194
Equity
---
-
---
---

None

Mirova Global Energy Transition Equity Fund
No official benchmark
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NAV:

YTD Performance*:

Total net assets:

I (C) EUR - LU0448199371
Equity
17,312.76 EUR
14/12/2017
Upward" 9.55 %
---
14/12/2017

★★


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NAV:

YTD Performance*:

Total net assets:

R (C) EUR - LU0448199611
Equity
144.42 EUR
14/12/2017
Upward" 8.46 %
---
14/12/2017

★★


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NAV:

YTD Performance*:

Total net assets:

(C) EUR - LU0914729297
Equity
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

H-N (C) CHF - LU1133053550
Equity
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

R (C) CHF - LU0914729024
Equity
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

I (C) CHF - LU0914728729
Equity
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

H-R (C) EUR - LU0448199702
Equity
134.83 EUR
14/12/2017
Upward" 13.80 %
---
14/12/2017

None


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NAV:

YTD Performance*:

Total net assets:

H-I (C) EUR - LU0448199454
Equity
14,629.23 EUR
14/12/2017
Upward" 14.57 %
---
14/12/2017

None

Mirova Global Green Bond Fund
No official benchmark
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NAV:

YTD Performance*:

Total net assets:

I (C) EUR - LU1472740502
---
812.09 EUR
14/12/2017
Upward" 1.65 %
0.00 %
14/12/2017

★★★


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NAV:

YTD Performance*:

Total net assets:

I (D) EUR - LU1472740684
---
384.20 EUR
14/12/2017
Upward" 1.65 %
0.00 %
14/12/2017

★★★


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NAV:

YTD Performance*:

Total net assets:

I (C) USD - LU1472740841
---
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

R (C) EUR - LU1472740767
---
127.27 EUR
14/12/2017
Upward" 1.18 %
0.00 %
14/12/2017

★★★


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NAV:

YTD Performance*:

Total net assets:

R (D) EUR - LU1525463862
---
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

(C) EUR - LU1472740924
---
1,019.77 EUR
14/12/2017
Upward" 1.81 %
0.00 %
14/12/2017

None


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NAV:

YTD Performance*:

Total net assets:

(D) EUR - LU1525463359
---
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

H-N (D) CHF - LU1525463789
---
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

H-N (C) CHF - LU1525463607
---
974.70 CHF
14/12/2017
Upward" 1.12 %
---
14/12/2017

None


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NAV:

YTD Performance*:

Total net assets:

H-N (D) USD - LU1525463516
---
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

H-N (C) USD - LU1525463433
---
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

H-S (C) CHF - LU1525462971
---
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

H-S (C) USD - LU1525462898
---
---
-
---
---

None

Mirova Global Sustainable Equity Fund
MS WLD INDEX DNR €
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NAV:

YTD Performance*:

Total net assets:

I (C) EUR - LU0914729453
Equity
16,154.97 EUR
14/12/2017
Upward" 13.87 %
8.22 %
14/12/2017

★★★★★


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NAV:

YTD Performance*:

Total net assets:

I (D) EUR - LU0914729537
Equity
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

R (C) EUR - LU0914729966
Equity
156.95 EUR
14/12/2017
Upward" 12.98 %
8.22 %
14/12/2017

★★★★


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NAV:

YTD Performance*:

Total net assets:

R (D) EUR - LU0914730030
Equity
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

(C) EUR - LU0914730626
Equity
163.12 EUR
14/12/2017
Upward" 13.77 %
8.22 %
14/12/2017

★★★★★


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NAV:

YTD Performance*:

Total net assets:

H-N (C) CHF - LU1133053808
Equity
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

R (C) CHF - LU0914730386
Equity
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

I (C) CHF - LU0914729883
Equity
---
-
---
---

None

Natixis Actions US Growth
S&P 500 (C) TR $
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NAV:

YTD Performance*:

Total net assets:

I (C) EUR - FR0011545524
Equity
209,890.71 EUR
14/12/2017
Upward" 16.39 %
---
14/12/2017

★★★★


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NAV:

YTD Performance*:

Total net assets:

I (C) USD - FR0010256404
Equity
261,659.32 USD
14/12/2017
Upward" 29.99 %
20.77 %
14/12/2017

★★★★


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NAV:

YTD Performance*:

Total net assets:

R (C) EUR - FR0011600410
Equity
19,234.93 EUR
14/12/2017
Upward" 15.59 %
---
14/12/2017

★★★★


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NAV:

YTD Performance*:

Total net assets:

R (C) USD - FR0010236877
Equity
24,164.60 USD
14/12/2017
Upward" 29.06 %
20.77 %
14/12/2017

★★★★


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NAV:

YTD Performance*:

Total net assets:

(C) USD - FR0011545557
Equity
18,424.55 USD
14/12/2017
Upward" 29.88 %
20.77 %
14/12/2017

★★★★


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NAV:

YTD Performance*:

Total net assets:

H-R (C) EUR - FR0011010149
Equity
235.91 EUR
14/12/2017
Upward" 26.35 %
---
14/12/2017

None

Natixis Actions Us Value
S&P 500 (C) TR $
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NAV:

YTD Performance*:

Total net assets:

I (C) EUR - FR0010619890
Equity
198,924.31 EUR
14/12/2017
Upward" 0.57 %
---
14/12/2017

★★


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NAV:

YTD Performance*:

Total net assets:

I (C) USD - FR0010256412
Equity
234,243.32 USD
14/12/2017
Upward" 12.28 %
20.77 %
14/12/2017

★★★


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NAV:

YTD Performance*:

Total net assets:

R (C) EUR - FR0010619882
Equity
18,514.09 EUR
14/12/2017
Downward" 0.00 %
---
14/12/2017

★★


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NAV:

YTD Performance*:

Total net assets:

R (C) USD - FR0010236893
Equity
21,801.27 USD
14/12/2017
Upward" 11.64 %
20.77 %
14/12/2017

★★★


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NAV:

YTD Performance*:

Total net assets:

H-R (C) EUR - FR0011146786
Equity
192.80 EUR
14/12/2017
Upward" 9.85 %
---
14/12/2017

None


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NAV:

YTD Performance*:

Total net assets:

RE (C) USD - FR0011061811
Equity
17.77 USD
14/12/2017
Upward" 11.62 %
20.77 %
14/12/2017

★★


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NAV:

YTD Performance*:

Total net assets:

H-I (C) EUR - FR0010796409
Equity
219,605.13 EUR
14/12/2017
Upward" 10.49 %
---
14/12/2017

None

Natixis Conservative Risk Parity
No official benchmark
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NAV:

YTD Performance*:

Total net assets:

I (C) EUR - LU0935227370
Mixed Asset
11,611.59 EUR
14/12/2017
Upward" 2.87 %
0.00 %
14/12/2017

★★★


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NAV:

YTD Performance*:

Total net assets:

I (D) EUR - LU0935227453
Mixed Asset
11,253.40 EUR
14/12/2017
Upward" 2.87 %
0.00 %
14/12/2017

★★★


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NAV:

YTD Performance*:

Total net assets:

R (C) EUR - LU0935227537
Mixed Asset
113.89 EUR
14/12/2017
Upward" 2.21 %
0.00 %
14/12/2017

★★★


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NAV:

YTD Performance*:

Total net assets:

R (D) EUR - LU0935227701
Mixed Asset
112.03 EUR
14/12/2017
Upward" 2.20 %
0.00 %
14/12/2017

★★★


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NAV:

YTD Performance*:

Total net assets:

(C) EUR - LU1118018438
Mixed Asset
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

H-N (C) CHF - LU1118018602
Mixed Asset
---
-
---
---

None

Natixis Credit Opportunities
EONIA Capitalisé
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NAV:

YTD Performance*:

Total net assets:

I (C) EUR - LU0935225598
Return
57,627.78 EUR
14/12/2017
Upward" 1.48 %
1.57 %
14/12/2017

None


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NAV:

YTD Performance*:

Total net assets:

R (C) EUR - LU1118016143
Return
99.88 EUR
14/12/2017
Upward" 1.10 %
1.57 %
14/12/2017

None


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NAV:

YTD Performance*:

Total net assets:

(C) EUR - LU1118017034
Return
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

(D) EUR - LU1118017117
Return
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

H-N (D) CHF - LU1118017547
Return
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

H-N (C) CHF - LU1118017463
Return
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

H-RE (C) CHF - LU1118016739
Return
---
-
Upward" 0.61 %
---
13/11/2017

None


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NAV:

YTD Performance*:

Total net assets:

H-R (C) CHF - LU1118016226
Return
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

H-S (C) CHF - LU1118015764
Return
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

H-I (C) USD - LU0935225911
Return
103.52 USD
14/12/2017
Upward" 3.22 %
---
14/12/2017

None


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NAV:

YTD Performance*:

Total net assets:

H-I (C) CHF - LU0935225671
Return
49,915.99 CHF
14/12/2017
Upward" 1.10 %
---
14/12/2017

None

Natixis Euro Bonds Opportunities 12 Months
EONIA Capitalisé
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NAV:

YTD Performance*:

Total net assets:

(C) EUR - LU1117699402
Fixed Income
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

(D) EUR - LU1117699584
Fixed Income
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

H-N (D) CHF - LU1117700002
Fixed Income
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

H-N (C) CHF - LU1117699824
Fixed Income
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

H-S (C) CHF - LU1117699154
Fixed Income
---
-
---
---

None

Natixis Euro Crédit
BBGB EURO AG CP TR €
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NAV:

YTD Performance*:

Total net assets:

I (C) EUR - LU0935220524
Fixed Income
11,380.29 EUR
14/12/2017
Upward" 2.80 %
2.96 %
14/12/2017

★★★★


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NAV:

YTD Performance*:

Total net assets:

(C) EUR - LU1117700341
Fixed Income
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

(D) EUR - LU1117700424
Fixed Income
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

H-N (D) CHF - LU1118011425
Fixed Income
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

H-N (C) CHF - LU1118011342
Fixed Income
---
-
---
---

None

Natixis Euro Inflation
BBGB ALL CPI EURO TR €
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NAV:

YTD Performance*:

Total net assets:

I (C) EUR - LU0935222652
Fixed Income
43.89 EUR
14/12/2017
Upward" 2.00 %
2.43 %
14/12/2017

★★★★


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NAV:

YTD Performance*:

Total net assets:

I (D) EUR - LU0935222736
Fixed Income
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

R (C) EUR - LU0935222900
Fixed Income
42.14 EUR
14/12/2017
Upward" 1.64 %
2.43 %
14/12/2017

★★★★


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NAV:

YTD Performance*:

Total net assets:

R (D) EUR - LU0935223031
Fixed Income
---
-
Upward" 1.80 %
2.43 %
03/06/2016

None


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NAV:

YTD Performance*:

Total net assets:

(C) EUR - LU1118013397
Fixed Income
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

(D) EUR - LU1118013470
Fixed Income
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

H-N (D) CHF - LU1118013801
Fixed Income
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

H-N (C) CHF - LU1118013710
Fixed Income
---
-
---
---

None

NATIXIS EURO SHORT TERM CREDIT
BBG BARC EURO AG CORP 1-3Y €
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NAV:

YTD Performance*:

Total net assets:

I (C) EUR - LU0935221761
Fixed Income
10,717.77 EUR
14/12/2017
Upward" 1.17 %
0.70 %
14/12/2017

★★★★


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NAV:

YTD Performance*:

Total net assets:

I (D) EUR - LU0935221928
Fixed Income
9,707.15 EUR
14/12/2017
Upward" 1.18 %
0.70 %
14/12/2017

★★★


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NAV:

YTD Performance*:

Total net assets:

R (C) EUR - LU0935222066
Fixed Income
105.81 EUR
14/12/2017
Upward" 0.73 %
0.70 %
14/12/2017

★★★★


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NAV:

YTD Performance*:

Total net assets:

R (D) EUR - LU0935222223
Fixed Income
99.76 EUR
14/12/2017
---
---

None


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NAV:

YTD Performance*:

Total net assets:

(C) EUR - LU1118012159
Fixed Income
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

(D) EUR - LU1118012233
Fixed Income
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

H-N (D) CHF - LU1118012829
Fixed Income
---
-
---
---

None


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NAV:

YTD Performance*:

Total net assets:

H-N (C) CHF - LU1118012746
Fixed Income
---
-
---
---

None


Source: Natixis Asset Management

*©2016 Morningstar. All rights reserved. Past performance are not reliable for future performance. Any reference to a ranking, a rating or an award provides no guarantee for future performance results and is not constant over time. The information, data, analyses, and opinions contained herein (1) are proprietary to Morningstar, Inc. and its affiliates (collectively, “Morningstar”), (2) may not be copied or redistributed, (3) do not constitute investment advice offered by Morningstar (4) are provided solely for informational purposes and therefore are not an offer to buy or sell a security, and (5) are not warranted to be accurate, complete, or timely. Morningstar shall not be responsible for any trading decisions, damages, or other losses resulting from, or related to, this information, data, analyses or opinions or their use. Past performance is no guarantee of future results.