Resultado de la búsqueda
Fondo![]() ![]() | Fecha![]() ![]() | |||||
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2025![]() ![]() | ||||||
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NATIXIS ESG MODERATE N/A (EUR) | 11/06 | 1,76% | ||||
NATIXIS ESG MODERATE R/A (EUR) | 11/06 | 1,60% | ||||
NATIXIS IF (DUBLIN) I - LOOMIS SAYLES EURO CREDIT FUND I/A(EUR) | 12/06 | 2,04% | ||||
NATIXIS IF (DUBLIN) I - LOOMIS SAYLES EURO CREDIT FUND I/D(EUR) | 12/06 | 0,65% | ||||
NATIXIS IF (DUBLIN) I - LOOMIS SAYLES EURO CREDIT FUND N/A(EUR) | 12/06 | 2,31% | ||||
NATIXIS IF (DUBLIN) I - LOOMIS SAYLES EURO CREDIT FUND R/A(EUR) | 12/06 | 1,65% | ||||
NATIXIS IF (DUBLIN) I - LOOMIS SAYLES EURO CREDIT FUND RE/A(EUR) | 12/06 | 1,67% | ||||
NATIXIS IF (DUBLIN) I - LOOMIS SAYLES EURO CREDIT FUND S2/A(EUR) | 12/06 | 2,13% | ||||
NATIXIS IF (DUBLIN) I - LOOMIS SAYLES EURO HIGH YIELD FUND I/A(EUR) | 12/06 | 2,59% | ||||
NATIXIS IF (DUBLIN) I - LOOMIS SAYLES EURO HIGH YIELD FUND N/A(EUR) | 12/06 | 2,71% |