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OSTRUM SRI TOTAL RETURN CONSERVATIVE R/A (EUR)  WPKNR: A1XBMZ 
 Aktuell:
down 115,25 
 ISIN:

LU0935228691

   Währung:

EUR 

 Fondsname:

Ostrum SRI Total Return Conservative R/A (EUR)

   Ertragstyp:

Thesaurierend 

 Ursprungsland:

Luxemburg 

   Fondstyp:

Gemischter Fonds 

 Fondsmanager:

Stéphanie Bigou, Marin Blot, Frank Trividic

   Region:

weltweit  

 Fondsvolumen:

196,46 Mio. EUR

   Land:

 Auflagedatum:

30.09.2013

   Unterkategorie:

Mischfonds/flexibel 

 Geschäftsjahr:

01.07.

   Vertriebszulassung:

Österreich, Deutschland, Schweiz, Tschechien 

 Konditionen
ausgabeaufschlag verwaltungsgebühr  mindestanlage einmalig sparplan 

3,00%

0,98%

-

 Kennzahlen per 16.04.2025
  ytd 1 jahr 3 jahre 5 jahre

 Performance

-0,66%

4,12%

2,90%

3,86% 

 Volatilität

5,56%

4,50%

4,28%

3,97% 

 Sharpe Ratio

-0,81

0,41

-0,30

-0,38 

 Bester Monat

0,94%

2,52%

2,93%

2,98% 

 Schlechtester Monat

-1,37%

-2,43%

-2,62%

-2,62% 

 Fondsstrategie

The investment objective of Ostrum SRI Total Return Conservative (the "Sub-Fund") is to outperform the daily-capitalized €STR over its recommended minimum investment period of 3 years by more than 3.50% with a target 1-year volatility based on weekly data comprised between 3% and 5%. The Sub-Fund promotes environmental or social characteristics but does not have as its objective a sustainable investment. For further information regarding the environmental or social characteristics promoted by the Sub-Fund, please refer to the SFDR Annex. The investment strategy of the Sub-Fund consists in a dynamic allocation of assets across multiple asset classes (international equities, bonds, money market instruments including emerging markets) with a target annualized weekly volatility ranging from 3% to 5%. The Portfolio construction combines non-financial criteria through investment choices that are primarily guided by the application of ESG criteria and financial considerations - performance and volatility targets - through dynamic exposure management.

 Größte Positionen per -

USA 25/28

 

8,65%

USA 23/33

 

7,89%

JAPAN 22/32

 

7,11%

OSTRUM TOTAL RETURN VOLATILITY I/A EUR

 

4,91%

JAPAN 22/27

 

3,67%

USA 23/28

 

3,46%

USA 15.11.2052 4

 

2,69%

GROSSBRIT. 20/31

 

2,25%

FRANKREICH 22/28 O.A.T.

 

2,20%

JAPAN 2036 156

 

1,97%

Sonstiges

 

55,20 %

     
 Fondsgesellschaft
KAG: Natixis Inv. M. Int.
address: Im Trutz Frankfurt 55
60322 Frankfurt am Main
Internet: www.im.natixis.com
 
  Fonds-Suche nach Name, WKN, ISIN:        
 
 Österreich-Börsen
 ATX3.916,09 -2,01 -0,05% 
 ATX Prime1.974,73 -3,19 -0,16% 
 Immobilien-ATX340,26 1,13 0,33% 
 Indizes
 DAX21.205,86 -105,16 -0,49% 
 TecDax3.412,85 -40,02 -1,16% 
 MDAX27.148,42 -70,87 -0,26% 
 Dow Jones (EOD)39.142,23 -527,16 -1,33% 
 Nasdaq 10018.258,09 0,45 0,00% 
 S & P 500 (EOD)5.282,70 7,00 0,13% 
 SMI11.660,96 62,34 0,54% 


 Zinsen / Währungen
 Wichtige Währungen
 EUR/US$1,1393 0,00 0,25% 
 EUR/Yen161,9585 0,10 0,06% 
 EUR/CHF0,9303 -0,00 -0,12% 
 EUR/Brit. Pfund0,8572 0,00 0,09% 
 Yen/US$0,0070 0,00 0,14% 
 CHF/US$1,2250 0,00 0,33% 
 Zinsen
 ESTR (EUR)2,41800,00 0,08% 
 SAR® ON (CHF)0,18010,01 3,17% 
 TONA (JPY)0,4760-0,00 -0,21% 
 Rohstoffe
 baha Brent Indication67,440,00 0,00 
 Gold3.327,2915,37 0,46% 
 Silber32,58-0,38 -1,14% 
 Platin971,451,17 0,12% 
 

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