FUND NATIXIS AM FUNDS - OSTRUM SRI EURO AGGREGATE - I/D EUR DIS
Change+378.65 (+0.36%) Price105,314.37 CurrencyEUR Last updateApr 30, 2026
09:00:00.000
UTC
ISIN
LU0935223460
Name
NATIXIS AM FUNDS - OSTRUM SRI EURO AGGREGATE - I/D EUR DIS
Currency
EUR
Product type
Fixed interest funds
Min. invest.amount
50,000.00
Max. entry fee
0.00%
Sector
Bonds EUR
Price
105,314.37
Year Performance
-0.03%
Last update
Apr 30, 2026
09:00:00.000