Mirova Funds - Mirova Global Sustainable Equity R/A EUR

ISIN: LU0914729966
VNI at
YTD
03/27/2024
312.24 EUR
12.94%
Risk profile
Management company Natixis Invest Managers Intl
Allocation mode Accumulation
Opening date 10/25/2013
Management Type Ethical
Investment Zone World
Net Assets 381.81
Evolution de la valeur liquidative
Gestion
Frais
Valeur Liquidative
Catégorie EuroPerformance