Società: LAZARD FRERES GESTION SAS

Fondo Valore Var % Data
LAZARD CAPITAL FI SRI RVD DIS EUR 136,7400 0,11% Data22/01/2025
LAZARD CONVERTIBLE EUROPE PC CAP EUR HDG 16.774,8301 0,03% Data22/01/2025
LAZARD CREDIT FI SRI R DIS EUR 239,4025 0,05% Data22/01/2025
LAZARD CREDIT FI SRI R EUR 399,1600 0,05% Data22/01/2025
LAZARD CREDIT FI SRI TC CAP EUR 252,4300 0,05% Data22/01/2025
LAZARD EQUITY RECOVERY R EUR 160,5200 0,19% Data14/05/2024
LAZARD EURO CORPORATE HIGH YIELD PVC EUR 2.101,5000 0,06% Data22/01/2025
LAZARD PATRIMOINE SRI PC EUR 1.344,6600 -0,07% Data22/01/2025
LAZARD PATRIMOINE SRI R CAP EUR 128,7100 -0,08% Data22/01/2025
LAZARD SUSTAINABLE CREDIT 2025 RC EUR HDG 109,8900 0,02% Data22/01/2025
LAZARD SUSTAINABLE CREDIT 2025 RD EUR HDG 102,1100 0,01% Data22/01/2025