Funds (712)
Asset manager: Lombard Odier Funds (Europe)
0Selected:
Name
Currency
ISIN
FIDA Category
FIDA Rating
Start date
Date
Last price
EUR LU2212490465 Equity World (Emerging & Developed Markets) - EUR Hedged
16/11/2020 30/07/2026 11.32
USD LU0866415341 Convertible Bond Asia Pacific - 07/02/2013 30/07/2026 28.21
CHF LU0866414963 Bond Chf Hedged - 07/02/2013 30/07/2026 18.86
EUR LU0866415184 Bond Euro Hedged Asia Pacific - 07/02/2013 30/07/2026 22.43
USD LU0394778749 Convertible Bond Asia Pacific - 15/12/2008 30/07/2026 29.89
EUR LU0394780489 Bond Euro Hedged Asia Pacific - 15/12/2008 30/07/2026 23.77
USD LU0394778582 Convertible Bond Asia Pacific - 15/12/2008 30/07/2026 25.74
CHF LU0394779473 Bond Chf Hedged - 15/12/2008 30/07/2026 17.21
EUR LU0394780307 Bond Euro Hedged Asia Pacific
15/12/2008 30/07/2026 20.35
EUR LU0394780216 Bond Euro Hedged Asia Pacific
15/12/2008 30/07/2026 20.46
USD LU0394779044 Convertible Bond Asia Pacific - 17/03/2010 30/07/2026 22.57
EUR LU0394780646 Bond Euro Hedged Asia Pacific
15/12/2008 30/07/2026 17.96
USD LU0988721758 Convertible bond Usd Hedged - 10/01/2014 30/07/2026 18.01
CHF LU0866415697 Bond Chf Hedged - 05/12/2013 30/07/2026 12.97
USD LU0988727797 Convertible bond Usd Hedged - 19/03/2014 30/07/2026 41.15
CHF LU0866415770 Bond Chf Hedged - 20/03/2014 30/07/2026 31.24
EUR LU0866416232 Global Convertible Bond Euro Hedged - 07/02/2013 30/07/2026 22.36
EUR LU0866416075 Global Convertible Bond Euro Hedged - 07/02/2013 30/07/2026 23.47
EUR LU1976886702 Convertible Bond World - 30/07/2019 30/07/2026 24.28
USD LU0871571997 Convertible bond Usd Hedged - 04/12/2002 30/07/2026 41.01
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