Funds (204)
Asset manager: Swisscanto AM International SA
0Selected:
Name
Currency
ISIN
FIDA Category
FIDA Rating
Start date
Date
Last price
EUR LU0136171559 Equity Focus -ESG (World)
30/11/2001 28/07/2026 421.82
EUR LU0275317336 Equity Focus - Ecology & Environment
22/02/2007 28/07/2026 209.90
EUR LU0275317682 Equity Focus - Ecology & Environment - 22/02/2007 28/07/2026 242.29
EUR LU2211859272 Equity Focus -ESG (World) - 06/08/2020 28/07/2026 235.82
USD LU0338548034 Equity Focus - ESG (Emerging Markets)
25/08/2008 28/07/2026 242.30
USD LU0999461055 Equity Focus - ESG (Emerging Markets)
08/07/2015 28/07/2026 212.87
EUR LU3429335139 -- 10/07/2026 28/07/2026 93.52
USD LU0338548117 Equity Focus - ESG (Emerging Markets) - 25/08/2008 28/07/2026 282.24
EUR LU2775729077 Equity Focus - ESG (Emerging Markets) - 04/03/2024 28/07/2026 160.31
USD LU0866273294 Equity Focus - ESG (Emerging Markets) - 07/05/2013 28/07/2026 226.67
USD LU2099034824 Equity Focus - ESG (Emerging Markets) - 29/01/2020 28/07/2026 187.45
USD LU0866272569 Equity Focus - ESG (Emerging Markets) - 11/06/2014 28/07/2026 225.01
EUR LU1663824750 Equity Sector - Water Resources
24/08/2017 28/07/2026 174.21
EUR LU0302976872 Equity Sector - Water Resources
18/09/2007 28/07/2026 300.68
EUR LU0999463937 Equity Sector - Water Resources
28/01/2015 28/07/2026 212.36
EUR LU1495641794 Equity Sector - Water Resources - 14/11/2016 28/07/2026 346.19
EUR LU0866297715 Equity Sector - Water Resources - 27/06/2013 28/07/2026 302.96
USD LU1900093359 -- 23/11/2018 28/07/2026 145.98
USD LU1900093516 -- 23/11/2018 28/07/2026 174.54
USD LU1900093946 -- 23/11/2018 28/07/2026 185.35
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