Partners Group Listed Investments SICAV: Autres communications (concernent aussi des changements des règlements de fonds et des prospectus) du 17.04.2025

Nom de fond  NAV  Issue Price  Redemption Price  Closing Price  Trading Information SIX YTD Perf.  MyFunds
Partners Group Listed Investments SICAV - Listed Infrastructure CHF (C – Acc.)
LU1225718664
127.26 CHF
19.12.2025
+4.37%
Partners Group Listed Investments SICAV - Listed Infrastructure CHF (P – Acc.)
LU0661297050
159.60 CHF
19.12.2025
+3.72%
Partners Group Listed Investments SICAV - Listed Infrastructure EUR (C – Acc.)
LU1225718409
146.60 EUR
19.12.2025
+0.55%
Partners Group Listed Investments SICAV - Listed Infrastructure EUR (I – Acc.)
LU0263854829
296.17 EUR
19.12.2025
+0.55%
Partners Group Listed Investments SICAV - Listed Infrastructure EUR (I – Dist.)
LU0263854407
157.30 EUR
19.12.2025
-4.34%
Partners Group Listed Investments SICAV - Listed Infrastructure EUR (P – Acc.)
LU0263855479
S
253.59 EUR
19.12.2025
-0.22%
Partners Group Listed Investments SICAV - Listed Infrastructure EUR (P – Dist.)
LU0949730401
125.08 EUR
19.12.2025
-5.10%
Partners Group Listed Investments SICAV - Listed Infrastructure GBP (I – Dist.)
LU0424512662
199.66 GBP
19.12.2025
+0.92%
Partners Group Listed Investments SICAV - Listed Infrastructure M EUR Acc.
LU3036616467
97.03 EUR
19.12.2025
Partners Group Listed Investments SICAV - Listed Infrastructure PG CHF Acc.
LU3036616541
100.37 CHF
19.12.2025
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Q
Fonds destiné aux investisseurs qualifiés
E
Le fonds est un ETF / Le fonds est un ETSF
S
Le fonds est un Sponsored Fund
* NAV / Issue Price commissions non comprises, pour des fonds cotés NAV ou cours de clôture