Contact | Glossary | Natixis links | Recruitment

Notice to shareholder

NOTICE: NATIXIS EURO ABS IG MUTUAL FUND I (C) unit: FR0012100311; SI (C) unit: FR0010186726 R (C) unit: FR0013280716

08.09.2017

Creation of a new R (C) unit and reduction of the minimum subscription for the I unit

More

NOTICE TO SHAREHOLDERS

01.09.2017

Dear Sir, dear Madam,

We are writing on behalf of the SICAV, which is managed by Natixis Asset Management, a BPCE Group management company. The Board of Directors has decided to bring the following modifications to the Prospectus of the SICAV.

The changes described hereafter will come into force on September 8, 2017 and will be reflected in the SICAV prospectus dated September 2017.

More

NOTICE TO SHAREHOLDERS

23.05.2017

Dear Sir, dear Madam,

We are writing on behalf of the SICAV, which is managed by Natixis Asset Management, a BPCE Group management company. The Board of Directors has decided to bring the following modifications to the Prospectus of the SICAV.
The changes described hereafter will come into force on May 30th 2017 and will be reflected in the SICAV prospectus dated May 30th 2017.

More