Amundi Rendement Plus ISR P CFür den Zugriff auf unsere Ratings hier anmelden |
Wie hat sich dieser Fonds entwickelt? | 29.02.2024 |
Wachstum von 1000 (CHF) | Charts Erweitert |
Fonds | 0,5 | -2,6 | -14,0 | 0,5 | 1,9 | |
+/-Kat | 0,3 | -2,0 | 0,5 | -0,1 | -1,1 | |
+/-Idx | -2,2 | -0,5 | 3,4 | -0,7 | -0,5 | |
Kategorie: Mischfonds EUR defensiv | ||||||
Kategorie Benchmark: Morningstar EU Cau Tgt Allo... |
Übersicht | ||
NAV 27.03.2024 | EUR 127,37 | |
Änderung z. Vortag | 0,55% | |
Morningstar Kategorie™ | Mischfonds EUR defensiv | |
Valoren | 10749288 | |
ISIN | FR0010820332 | |
Fondsvolumen (Mio) 27.03.2024 | EUR 525,47 | |
Anteilsklassenvol (Mio) 27.03.2024 | EUR 249,89 | |
Ausgabeaufschlag (max.) | 1,00% | |
Laufende Kosten 26.01.2024 | 1,03% |
Anlageziel: Amundi Rendement Plus ISR P C |
The Fund’s management objective, over an investment period of 3 years and through discretionary management, is to: For I units: outperform capitalised EONIA by 2.30% on an annual basis. For I2-C and I2-D units: outperform capitalised EONIA by 2.50% on an annual basis. For P units: outperform capitalised EONIA by 1.70% on an annual basis. For M units: outperform capitalised EONIA by 2.30% on an annual basis. For R units: outperform capitalised EONIA by 2.20% on an annual basis. For RETRAITE units: outperform capitalised EONIA by 2.00% on an annual basis. For O units: outperform capitalised EONIA by 2.55% on an annual basis, after deducting maximum operating and management fees. |
Returns | ||||||||||
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Management | ||
Fondsmanager Startdatum | ||
Yannick Quenehen 15.10.2004 | ||
Alexandre Burgues 15.10.2004 | ||
Anteilserstausgabe 20.11.2009 |
Werbung |
Kategorie Benchmark | |
Fondsbenchmark | Morningstar Benchmark |
€STR capitalisé Jour TR EUR | Morningstar EU Cau Tgt Alloc NR EUR |
Target Market | ||||||||||||||||||||
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Was steckt in diesem Fonds? Amundi Rendement Plus ISR P C | 31.01.2024 |
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