Amundi Funds – Convertible Eur
ISIN:
LU0568615057
Current NAV:
106.12
Val.date:
2024-12-20
Year to date performance:
0.35%
Manager:
Amundi Luxembourg SA
SFDR:
Article 8
Documents:
Prospectus document (EN)
Prospectus document (FR)
Prospectus document (DE)
Prospectus document (IT)
Prospectus document (NL)
Periodic SFDR Annex (DE)
Periodic SFDR Annex (FR)
Periodic SFDR Annex (EN)
SFDR Precontractual document (EN)
SFDR Precontractual document (EN)
SFDR Precontractual document (DE)
SFDR Precontractual document (FR)
SFDR Precontractual document (NL)
KID (DE)
KID (FR)
KID (IT)
KID (EN)
KID (NL)