Funds (137)
Asset manager: Carmignac Gestion Luxembourg
0Selected:
Name
Currency
ISIN
FIDA Category
FIDA Rating
Start date
Date
Last price
EUR LU0992627611 Diversified Conservative - 15/11/2013 27/07/2026 157.07
EUR LU1163533778 Diversified Conservative - 31/12/2014 27/07/2026 79.90
GBP LU0992627967 Diversified Other Conservative - 15/11/2013 27/07/2026 171.69
USD LU0992628346 Diversified Usd Prudent - 15/11/2013 27/07/2026 183.29
EUR LU1299306321 Bond Eurozone - Government (1-3 Years)
19/11/2015 27/07/2026 111.67
EUR LU3003216408 Bond Eurozone - Government (1-3 Years) - 20/02/2025 27/07/2026 101.28
EUR LU0992624949 Bond Eurozone - Government (1-3 Years) - 25/11/2013 27/07/2026 121.29
EUR LU2420653367 Bond Eurozone - Government (1-3 Years) - 31/12/2021 27/07/2026 108.88
EUR LU2809794220 Equity Sector - Technology (World) - 21/06/2024 27/07/2026 179.54
USD LU2809794493 Equity Sector - Technology (World) - 21/06/2024 27/07/2026 191.12
EUR LU2809794816 Equity Sector - Technology (World) - 21/06/2024 27/07/2026 177.24
EUR LU2809794576 Equity Sector - Technology (World) - 21/06/2024 27/07/2026 181.59
GBP LU3186888858 --- 27/07/2026 135.06
USD LU2812616816 Equity Sector - Technology (World) - 21/06/2024 27/07/2026 193.16
EUR LU2809794733 Equity Sector - Technology (World) - 21/06/2024 27/07/2026 182.43
USD LU2809794659 Equity Sector - Technology (World) - 21/06/2024 27/07/2026 193.24
EUR LU3060210443 Equity Sector - Technology (World) - 07/05/2025 27/07/2026 192.55
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