Contact Us
Menu
Close menu
About us
Team
Our fund umbrellas
Products
Reports
Responsible Investing
Careers
Contacts
Contact Us
EN
IT
CORE DIVIDEND
ISIN
LU0575777627
NAV Price
8.622
1 Day %
0.5129
YTD %
13.0013
NAV Date
2024-11-08
NAV Currency
EUR
Launch Date
2011-03-24
Share Class
Distribution
Documents
PRIIPs KID
Factsheet
Unaudited Statement of Financial Position & Condensed Schedule of Investments
A range of products tailored to you
GLOBAL DISRUPTIVE OPPORTUNITIES FAM FUND
Learn more
EUROPEAN HIGH YIELD BOND FAM FUND
Learn more
Fineco AM MarketVector™ Global Clean Energy Transition ESG UCITS ETF
Learn more
Discover all products
Please select your investor type:
Institutional
Private