Multi Manager Access II: Comunicazioni supplementari (inerenti anche a modifiche di regolamenti e prospetti di fondi) dal 06.01.2025

Nome del fondo  NAV  Issue Price  Redemption Price  Closing Price  Trading Information SIX YTD Perf.  MyFunds
Multi Manager Access II - Sustainable Investing Growth CHF-hedged P-acc
LU1856116121
112.62 CHF
03.04.2025
112.62 CHF
03.04.2025
112.62 CHF
03.04.2025
-3.70%
Multi Manager Access II - Sustainable Investing Growth CHF-hedged Q-acc
LU1856116634
118.33 CHF
03.04.2025
118.33 CHF
03.04.2025
118.33 CHF
03.04.2025
-3.51%
Multi Manager Access II - Sustainable Investing Growth EUR-hedged P-acc
LU1856116394
120.08 EUR
03.04.2025
120.08 EUR
03.04.2025
120.08 EUR
03.04.2025
-3.04%
Multi Manager Access II - Sustainable Investing Growth EUR-hedged Q-acc
LU1856116717
126.25 EUR
03.04.2025
126.25 EUR
03.04.2025
126.25 EUR
03.04.2025
-2.85%
Multi Manager Access II - Sustainable Investing Growth GBP-hedged P-acc
LU2033266292
124.29 GBP
03.04.2025
124.29 GBP
03.04.2025
124.29 GBP
03.04.2025
-2.59%
Multi Manager Access II - Sustainable Investing Growth USD P-acc
LU1856116048
137.37 USD
03.04.2025
137.37 USD
03.04.2025
137.37 USD
03.04.2025
-2.75%
Multi Manager Access II - Sustainable Investing Growth USD Q-acc
LU1856116550
144.27 USD
03.04.2025
144.27 USD
03.04.2025
144.27 USD
03.04.2025
-2.57%
Multi Manager Access II - Sustainable Investing Yield CHF-hedged P-acc
LU1852197554
101.01 CHF
03.04.2025
101.01 CHF
03.04.2025
101.01 CHF
03.04.2025
-1.79%
Multi Manager Access II - Sustainable Investing Yield CHF-hedged Q-acc
LU1852197984
104.82 CHF
03.04.2025
104.82 CHF
03.04.2025
104.82 CHF
03.04.2025
-1.64%
Multi Manager Access II - Sustainable Investing Yield EUR-hedged P-acc
LU1852197638
107.96 EUR
03.04.2025
107.96 EUR
03.04.2025
107.96 EUR
03.04.2025
-1.13%
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Q
Fondo per investitori qualificati
E
Il fondo è un ETF / Il fondo è un ETFS
S
Il fondo è un Sponsored Fund
* NAV / Issue Price commissioni escluse, per fondi quotati in borsa NAV o quotazione di chiusura