Funds (137)
Asset manager: Carmignac Gestion Luxembourg
0Selected:
Name
Currency
ISIN
FIDA Category
FIDA Rating
Start date
Date
Last price
EUR LU2638444914 -- 24/04/2024 27/07/2026 115.89
EUR LU2420652393 Equity World (Developed Markets) - Large & Mid Cap - 31/12/2021 27/07/2026 111.61
EUR LU2420652476 Equity World (Developed Markets) - Large & Mid Cap - 31/12/2021 27/07/2026 110.85
EUR LU2420652807 Equity Europe (Emerging & Developed Markets) - 31/12/2021 27/07/2026 102.56
EUR LU2923680206 Total Return - Long Short Strategy - 29/11/2024 27/07/2026 98.41
EUR LU2923680388 Total Return - Long Short Strategy - 29/11/2024 27/07/2026 99.19
GBP LU2923680461 Total Return Gbp Hegded - 29/11/2024 27/07/2026 101.92
EUR LU2923680545 Total Return - Long Short Strategy - 29/11/2024 27/07/2026 99.78
EUR LU0336083810 Equity World (Emerging Markets) - Mid & Small Cap
14/12/2007 27/07/2026 3,289.68
USD LU0807689582 Equity Usd Hedged - 19/07/2012 27/07/2026 352.74
EUR LU0992629740 Equity World (Emerging Markets) - Mid & Small Cap - 15/11/2013 27/07/2026 339.38
GBP LU0992630086 Equity World (Emerging Markets) - Mid & Small Cap - 15/11/2013 27/07/2026 357.96
EUR LU2420651155 Equity World (Emerging Markets) - Mid & Small Cap - 31/12/2021 27/07/2026 179.09
CAD LU2772084237 Total Return Other Currencies - 19/12/2024 27/07/2026 105.41
CHF LU2020612490 Total Return Chf Hedged - 16/08/2019 27/07/2026 118.77
EUR LU1623762843 Total Return Bond
31/07/2017 27/07/2026 159.04
EUR LU1623762926 Total Return Bond
31/07/2017 27/07/2026 126.97
USD LU1623763064 Total Return Usd Hedged - 31/07/2017 27/07/2026 180.80
EUR LU3003216580 Total Return Bond - 20/02/2025 27/07/2026 104.39
CHF LU2020612730 Total Return Chf Hedged - 16/08/2019 27/07/2026 121.60
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