LO Funds - Convertible Bond Asia, Syst. NAV Hdg, (EUR) RA/ LU0394780646 /
NAV11/4/2024 | Chg.+0.1071 | Type of yield | Investment Focus | Investment company |
---|---|---|---|---|
13.8374EUR | +0.78% | reinvestment | Bonds | Lombard Odier F.(EU) ▶ |
Funds documents
Date | Document | Year | Language | Filesize |
---|---|---|---|---|
11/6/2024 | Public WebStation Live Factsheet | 2024 | English | - |
8/19/2024 | Prospectus | 2024 | English | 5,221.84 KB |
8/19/2024 | Prospectus | 2024 | German | 7,803.83 KB |
3/31/2024 | Semi-annual report | 2024 | English | 12,123.11 KB |
3/31/2024 | Semi-annual report | 2024 | German | 12,123.11 KB |
2/6/2024 | PRIIP Key Information Document | 2024 | English | 129.60 KB |
2/6/2024 | PRIIP Key Information Document | 2024 | German | 126.25 KB |
9/30/2023 | Account statment | 2023 | English | 13,137.52 KB |
9/30/2023 | Account statment | 2023 | German | 13,137.52 KB |
1/31/2022 | Key Investor Information | 2022 | English | 107.91 KB |
1/31/2022 | Key Investor Information | 2022 | German | 108.50 KB |