Lazard Capital Fi SRI RVD EUR
FR0010952796
Lazard Capital Fi SRI RVD EUR/ FR0010952796 /
NAV29/08/2024 |
Var.+0.1300 |
Type of yield |
Focus sugli investimenti |
Società d'investimento |
129.9500EUR |
+0.10% |
paying dividend |
Bonds
Worldwide
|
Lazard Fr. Gestion ▶ |
Tutte le quotazioni in EUR
Tranches
Nome |
|
Type of yield |
Prezzo di riacquisto |
1 anno |
3 anni |
Lazard Capital Fi SRI PVC H-USD |
|
reinvestment |
1,798.2900 |
- |
- |
Lazard Capital Fi SRI PVD F EUR |
|
paying dividend |
1,014.7400 |
- |
- |
Lazard Capital Fi SRI RC H-CHF |
|
reinvestment |
1,087.6801 |
- |
- |
Lazard Capital Fi SRI TVD EUR |
|
paying dividend |
98.2300 |
- |
- |
Lazard Capital Fi SRI PC EUR |
|
reinvestment |
1,094.7700 |
- |
- |
Lazard Capital Fi SRI H-USD |
|
paying dividend |
1,067.1300 |
- |
- |
Lazard Capital Fi SRI PVC F EUR |
|
reinvestment |
1,118.1000 |
- |
- |
Lazard Capital Fi SRI PVC H-CHF |
|
reinvestment |
1,136.0699 |
- |
- |
Lazard Capital Fi SRI PVD EUR |
|
paying dividend |
107,154.0469 |
- |
- |
Lazard Capital Fi SRI RD H-USD |
|
paying dividend |
1,055.7800 |
- |
- |
Lazard Capital Fi SRI RVC EUR |
|
reinvestment |
125.0100 |
- |
- |
Lazard Capital Fi SRI RVD EUR |
|
paying dividend |
129.9500 |
- |
- |
Lazard Capital Fi SRI SC EUR |
|
reinvestment |
13,822.9004 |
- |
- |
Lazard Capital Fi SRI SD EUR |
|
paying dividend |
9,863.3398 |
- |
- |
Lazard Capital FI SRI PVC |
|
reinvestment |
2,278.8201 |
+18.52% |
+3.88% |
Lazard Capital Fi SRI PC H-USD |
|
reinvestment |
1,241.1801 |
- |
- |
Prestazione
YTD |
|
|
+2.78% |
6 mesi |
|
|
+2.52%
|
1 anno |
|
|
- |
3 anni |
|
|
- |
5 anni |
|
|
- |
10 anni |
|
|
- |
Dall'inizio |
|
|
+2.78% |
Anno |