LAZARD FRERES GESTION SAS

Nombre del fondo VL
Rentabilidad 12 meses
SRRI
Patrimonio
LAZARD CONVERTIBLE GLOBAL
473,510€
12,59%
3.692M€
Lazard Emerging Markets Debt Blend Fund
92,880€
-4,08%
56M€
Lazard Emerging Markets Bond Fund
141,984€
-2,84%
12M€
LAZARD EMERGING MARKETS TOTAL RETURN DEBT FUND
109,145€
5,25%
113M€
NORDEN
196,870€
3,41%
498M€
LAZARD CONVERTIBLE EUROPE
165,550€
0,21%
150M€
LAZARD EUROPEAN ALTERNATIVE FUND
97,029€
0,12%
343M€
LAZARD CREDIT FI
337,440€
0,06%
1.144M€
LAZARD CAPITAL FI
123,280€
3,02%
537M€
LAZARD EMERGING MARKETS CORE EQUITY FUND
100,482€
-3,30%
69M€
LAZARD EQUITY SRI
1.656,960€
-2,33%
189M€
LAZARD PATRIMOINE CROISSANCE
376,770€
-5,01%
652M€
LAZARD EMERGING MARKETS LOCAL DEBT FUND
95,386€
-6,57%
1.037M€
LAZARD ALPHA EUROPE
270,320€
-5,77%
52M€
LAZARD SMALL CAPS EURO
1.221,560€
-6,90%
467M€
LAZARD ALPHA EURO
364,630€
-7,31%
449M€
LAZARD GLOBAL MANAGED VOLATILITY FUND
120,581€
-9,64%
139M€
LAZARD PAN-EUROPEAN SMALL CAP FUND
110,962€
-4,13%
70M€
LAZARD DIVIDENDES MIN VAR
183,970€
-6,86%
133M€
LAZARD RECOVERY EUROZONE
101,040€
-13,78%
24M€

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