LOYS Sicav - LOYS Global PAN
ISIN: | LU0324426252 | Redemption price: | 28.70 EUR |
As at: | 21.08.2018 | Issue price: | 28.70 EUR |
Fondsdaten
Fund name: | LOYS Sicav - LOYS Global PAN |
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WKN: | A0M5SE |
ISIN: | LU0324426252 |
Valor: | 3503256 |
Information Agent: | LOYS AG |
Net-Asset-Value (NAV): | 28.70 EUR (21.08.2018) |
Agio: | 5.00% |
Management Fee: | 1.20% |
Ongoing Charges: | 2.17% (31.12.2017) |
Distribution Policy: | Distributing |
Benchmark: | MSCI World EUR (NTR) |
Date of Inception: | 01.07.2010 |
AuM in Strategy: | 424,555,177.53 EUR (21.08.2018) |
Liquidity / Price Fixing: | Daily |