Società: Natixis Investment Managers Int.

Fondo Valore Var % Data
OSTRUM EURO ABS IG I EUR 1.128,9200 0,01% Data27/03/2025
OSTRUM EURO ABS OPPORTUNITIES I DIS EUR
OSTRUM SRI MONEY I DIS EUR 12.782,3613 0,01% Data31/03/2025
OSTRUM TRÉSORERIE PLUS R CAP EUR 11.015,2002 0,01% Data31/03/2025