LAZARD FRERES GESTION SAS

Nombre del fondo VL
Rentabilidad 12 meses
SRRI
Patrimonio
Lazard Emerging Markets Core Equity Fund
102,873€
11,75%
6
69M€
Lazard Convertible Global
416,750€
10,36%
5
2.623M€
Lazard Patrimoine Croissance
400,100€
11,35%
5
679M€
Lazard Emerging Markets Local Debt Fund
101,070€
7,46%
5
1.271M€
Lazard Equity SRI
1.759,470€
8,66%
6
181M€
Lazard Dividendes Min VaR
203,650€
7,00%
5
146M€
Lazard Credit Fi
343,680€
6,42%
3
913M€
Lazard Emerging Markets Debt Blend Fund
92,880€
8,68%
4
303M€
Lazard Emerging Markets Bond Fund
141,984€
6,96%
4
10M€
Lazard Alpha Euro
411,800€
4,97%
6
589M€
Lazard Emerging Markets Total Ret Dbt Fd
104,109€
4,10%
4
141M€
Lazard Alpha Europe
299,230€
3,36%
6
61M€
Lazard Convertible Europe
164,510€
2,56%
4
97M€
Lazard Capital Fi
128,730€
3,07%
4
344M€
Norden
187,190€
0,94%
5
594M€
Lazard Recovery Eurozone
123,330€
-2,41%
6
41M€
Lazard European Alternative Fund
96,655€
-3,81%
3
508M€
Lazard Small Caps Euro
1.286,020€
-5,63%
5
488M€
Lazard Pan-European Small Cap Fund
110,962€
0,85%
5
41M€

Divisas

Materias primas

Volver arriba