Etf (72)
Issuer: BNP Paribas AM Lux
0Selected:
Name
Currency
ISIN
FIDA Category
FIDA Rating
Start date
Date
Last price
EUR LU3025345516 -- 17/06/2025 27/07/2026 10.27
EUR LU3047998896 Equity Sector - Industrial Goods & Services (Europe) - 19/05/2025 27/07/2026 11.32
EUR LU1953136527 Equity Focus -ESG (World)
24/04/2019 27/07/2026 22.58
EUR LU2194447293 Equity Focus -ESG (World)
15/09/2020 27/07/2026 18.63
EUR LU2365458145 Equity Other - 04/02/2022 27/07/2026 14.20
USD LU1291109533 Equity Sector - Energy
25/04/2016 27/07/2026 19.29
EUR LU1291109616 Equity Sector - Energy
01/04/2016 27/07/2026 20.05
EUR LU1547516291 Equity World (Emerging & Developed Markets) - EUR Hedged
22/09/2017 27/07/2026 15.56
EUR LU2697596745 Bond Euro (EUR) - Corporate ESG - 11/01/2024 27/07/2026 10.87
EUR LU2697597552 Bond Eurozone - Government - 11/01/2024 27/07/2026 10.31
EUR LU2533812991 Bond World - Euro (EUR) - Corporate & Government
02/02/2023 27/07/2026 10.65
EUR LU2533812728 Bond World - Euro (EUR) - Corporate & Government
02/02/2023 27/07/2026 9.86
EUR LU2533812058 Bond Euro (EUR) - Corporate ESG - 06/09/2023 27/07/2026 10.98
EUR LU2244386053 Bond EUR - Corporate High Yield
22/02/2021 27/07/2026 11.26
EUR LU2244386137 Bond EUR - Corporate High Yield
22/02/2021 27/07/2026 9.06
EUR LU2008760592 Bond Euro (EUR) - Corporate ESG
04/10/2019 27/07/2026 9.62
EUR LU2446383338 Bond Euro (EUR) - Corporate ESG
28/10/2022 27/07/2026 11.69
EUR LU2008761053 Bond Euro (EUR) - Corporate ESG
04/10/2019 27/07/2026 9.14
EUR LU1859444769 Bond Euro (EUR) - Corporate ESG
15/01/2019 27/07/2026 10.63
EUR LU1953136287 Bond Euro (EUR) - Corporate ESG
10/02/2022 27/07/2026 9.23
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