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About Natixis AM

With assets under management of €367.5 billion and
700 employees*, Natixis Asset Management ranks among the leading European asset managers.

Natixis Asset Management offers its clients (institutional investors, companies, private banks, retail banks and other distribution networks) tailored, innovative and efficient solutions organised into 5 investment divisions: Fixed income, European equities, Investment and client solutions, Structured and volatility (developed by Seeyond), and Global emerging equities (developed by Emerise).

* Source: Natixis Asset Management – 30/06/2017.

All funds

Fondsname
Benchmark
   
Anteilsklasse - ISIN
   
Asset-Klasse
   
Netto-Inventarwert
   
Performance
   
MorningStar-Rating *
   
Dokumente

31 OPCVM found

  1. 1
  2. 2
Emerise Global Emerging Equity
MS EMERGING MARKETS IMI DNR €
Aktienfonds
133.56 EUR
11/12/2017
Upward" 22.86 %
18.51 %
06/12/2017

★★★


Aktienfonds
---
-
---
---

None

Mirova Euro Green&Sustainable Bond Fund
BBGB EURO AG 500M TR €
Rentenfonds
117.97 EUR
11/12/2017
Upward" 2.31 %
2.59 %
06/12/2017

★★★


Rentenfonds
---
-
---
---

None

Mirova Euro Green&Sustainable Corporate Bond Fund
BBGB EURO AG CP TR €
Rentenfonds
174.35 EUR
11/12/2017
Upward" 2.61 %
4.19 %
06/12/2017

★★★


Rentenfonds
101.02 EUR
11/12/2017
---
---

None

Mirova Euro Sustainable Equity Fund
MS EMU DNR €
Aktienfonds
110.67 EUR
08/12/2017
Upward" 16.17 %
19.76 %
06/12/2017

★★★


Aktienfonds
133.02 EUR
08/12/2017
Upward" 16.17 %
19.76 %
06/12/2017

★★★

Mirova Europe Environmental Equity Fund
MS EUROPE DNR €
---
131.51 EUR
11/12/2017
Upward" 15.65 %
14.82 %
06/12/2017

★★★


---
---
-
Upward" 3.85 %
---
07/06/2017

None

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

None


---
---
-
---
---

None

Mirova Europe Sustainable Equity Fund
MS EUROPE DNR €
Aktienfonds
326.77 EUR
11/12/2017
Upward" 12.66 %
14.82 %
06/12/2017

★★


Aktienfonds
321.57 EUR
11/12/2017
Upward" 12.62 %
14.82 %
06/12/2017

★★

Mirova Global Energy Transition Equity Fund
No official benchmark
Aktienfonds
145.65 EUR
11/12/2017
Upward" 10.78 %
---
06/12/2017

★★


Aktienfonds
118.65 USD
11/12/2017
Upward" 21.50 %
0.00 %
06/12/2017

★★

Mirova Global Green Bond Fund
No official benchmark
---
127.37 EUR
11/12/2017
Upward" 1.56 %
0.00 %
06/12/2017

★★★


---
---
-
---
---

None

Mirova Global Sustainable Equity Fund
MS WLD INDEX DNR €
Aktienfonds
157.16 EUR
11/12/2017
Upward" 14.61 %
10.53 %
06/12/2017

★★★★


Aktienfonds
---
-
---
---

None


Aktienfonds
---
-
---
---

None

Natixis Actions US Growth
S&P 500 (C) TR $
Aktienfonds
19,285.07 EUR
11/12/2017
Upward" 14.58 %
---
08/12/2017

★★★★


Aktienfonds
24,268.27 USD
11/12/2017
Upward" 26.90 %
20.45 %
08/12/2017

★★★★

Natixis Cash Euribor
EONIA Capitalisé
GF
41,464.10 EUR
12/12/2017
Downward" -0.27 %
-0.36 %
11/12/2017

None

Natixis Conservative Risk Parity
No official benchmark
Mixed Asset
113.89 EUR
11/12/2017
Upward" 2.54 %
0.00 %
06/12/2017

★★★


Mixed Asset
112.03 EUR
11/12/2017
Upward" 2.53 %
0.00 %
06/12/2017

★★★

Natixis Convertibles Europe
EXANE EUROPE CONVERT (C) DNR €
Rentenfonds
177.01 EUR
11/12/2017
Upward" 4.33 %
5.67 %
08/12/2017

★★★

Natixis Credit Opportunities
EONIA Capitalisé
Rendite
99.89 EUR
11/12/2017
Upward" 1.44 %
1.64 %
06/12/2017

None

NATIXIS EURO AGGREGATE
BBGB EURO AG 500M TR €
Rentenfonds
155.83 EUR
11/12/2017
Upward" 2.90 %
2.59 %
06/12/2017

★★★★


Rentenfonds
133.21 EUR
11/12/2017
Upward" 2.90 %
2.59 %
06/12/2017

★★★★

Natixis Euro Bonds Opportunities 12 Months
EONIA Capitalisé
Rentenfonds
7,910.93 EUR
11/12/2017
Upward" 0.63 %
-0.36 %
06/12/2017

★★★

Natixis Euro Crédit
BBGB EURO AG CP TR €
Rentenfonds
113.12 EUR
11/12/2017
Upward" 3.70 %
4.19 %
06/12/2017

★★★★


Rentenfonds
---
-
---
---

None

Natixis Euro Inflation
BBGB ALL CPI EURO TR €
Rentenfonds
42.27 EUR
11/12/2017
Upward" 3.35 %
4.19 %
06/12/2017

★★★★


Rentenfonds
---
-
---
---

None

NATIXIS EURO SHORT TERM CREDIT
BBG BARC EURO AG CORP 1-3Y €
Rentenfonds
105.82 EUR
11/12/2017
Upward" 1.12 %
0.93 %
06/12/2017

★★★★


Rentenfonds
99.77 EUR
11/12/2017
---
---

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.

Natixis Asset Management ranks among the leading European asset managers. It offers its clients tailored, innovative and efficient solutions organised into 5 investment divisions: Fixed income, European equities, Investment and client solutions, Structured and volatility (developed by Seeyond), and Global emerging equities (developed by Emerise).