| Prospectus | 10.09.2025 DE |
|---|---|
| Annual report |
30.06.2025
DE
30.06.2025 FR |
| Semi-annual report |
31.12.2024
DE
31.12.2024 FR |
| Key information document | 10.09.2025 DE |
| Change in the calculation of NAV / issue and redemption of units |
27.11.2025
NEW
DE
30.10.2025 DE 27.11.2025 NEW FR 30.10.2025 FR |
|---|---|
| Other legal notices (concern also modifications of regulations and prospectuses) |
30.10.2025
DE
30.10.2025 FR |
| Other optional notices |
30.10.2025
DE
30.10.2025 FR |
| Fact sheet (marketing) |
30.11.2025
NEW
EN
30.11.2025 NEW DE 30.11.2025 NEW FR 30.11.2025 NEW IT |
|---|---|
| Other documents (marketing) |
10.09.2025
DE
10.09.2025 FR |
| No document available for this fund |