Lazard Emerging Markets Eq. BP Cap $

Rating and Score  (On 30/06/2026)
Rating
FIDA
Rating
ESG
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Static data
Name
Lazard Emerging Markets Eq. BP Cap $
Typology
Funds and Sicav
ISIN Code
IE00BD5TM289
Sicav
Lazard Global Active Funds Plc
Registration country
-
Country authorised for sale
Asset manager
Address
6TH FLOOR, 2 GRAND CANAL SQUARE D02-A342 DUBLIN
Phone
Web site
FIDA Category
Assogestioni category
EFAMA Category
Equity Emerging Market Global
Priips
Yes
Official benchmark
100.00% - MSCI Emerging Markets
Start Date placement
31/01/2018
Search by currency
Usd - us dollar
Quotation currency
Usd - us dollar
Status
Active
Distribution policy
No
Total asset value at 03/08/2026
63.11 mln USD
Assets of portfolio as of 03/08/2026
1,009.48 mln USD
Documentation
Quotation evolution (From 03/08/2023 On 03/08/2026)
21.01
101.89
%
03/08/2026
Loading data
Quote
Quotation currency
Usd - us dollar
Quotation frequency
Daily
Last quotation
$21.16 (04/08/2026)
% change
+0.68%
Last Price in Euro
€18.37
Investment Objective
The Fund aims to achieve long term capital appreciation through investment in equities (i.e. shares) and equity-related instruments (i.e. shares including common and preferred stocks, warrants and rights) of companies which are based or have significant business interests in emerging market countries. The Fund is actively managed and may, on an occasional basis, invest in investment grade government and corporate fixed income securities (i.e. bonds and notes) and convertible debt securities (debt securities that are convertible into the equity securities of the issuer) listed or traded on a Regulated Market. The Fund may use derivatives (which are financial contracts whose value is linked to the price of an underlying investment) for the purposes of efficient portfolio management. The Fund has discretion as to which investments it will hold within the limits of the Investment Objective and Policy. The Fund's performance is measured against the performance of the MSCI Emerging Markets Net Total Return USD Index (the "Benchmark"), which the Investment Manager has assessed to be the most appropriate Benchmark for measuring performance. The performance of the Fund seeks to exceed the Benchmark performance. The Fund is not constrained by the Benchmark as it has flexibility to invest in securities and asset classes not included in the Benchmark. Income and profits, if any, attributable to your shares will not be paid out as a dividend but will be accumulated in the Fund on your behalf and reflected in an increase in the value of your holdings. The Fund promotes environmental and/or social characteristics within the meaning of Article 8 of Regulation (EU) 2019/2088, the "SFDR Regulation". The Company's depositary is State Street Custodial Services (Ireland) Limited (the "Depositary"). This document describes a share class of the Fund, which is a sub-fund of the Company. The Company is comprised of a number of sub-funds (including the Fund), each having a separate
Tax system
PIR compliant
No
PEA compliant
No
PEA-PME compliant
No
Company registry
Asset manager
Phone
Web site
Address
6TH FLOOR, 2 GRAND CANAL SQUARE D02-A342 DUBLIN
The data and information covered by the Service are for the exclusive internal use of the User and may neither be transferred to third parties, nor circulated, disclosed or allowed to be disclosed, nor used on external information systems, without the written consent of FIDA and, when necessary, of the information sources.
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