Name
ISIN
  Type of yield
Currency
Investment company Repurchase p.
Date
Perf. 3M Perf. 1Y Perf. 3Y Perf. 5Y SR (1Y)
Vola. (1Y)
 
Mages C
FR0013292547
reinvestment
EUR
Lazard Fr. Gestion 1,304.4900
2024-06-06
+4.05% - - - -
-
Mages D
FR0013292554
paying dividend
EUR
Lazard Fr. Gestion 1,251.2500
2024-06-06
+3.31% - - - -
-
Mahe
FR0010736405
paying dividend
EUR
Lazard Fr. Gestion 2,421.9600
2024-06-06
+4.11% - - - -
-
Norden Family TC
FR0013344884
reinvestment
EUR
Lazard Fr. Gestion 148.6200
2024-06-05
+9.53% - - - -
-
Norden Small IC
FR0011474980
reinvestment
EUR
Lazard Fr. Gestion 222.0100
2024-06-05
+12.76% - - - -
-
Norden Small TC
FR0013305844
reinvestment
EUR
Lazard Fr. Gestion 122.1200
2024-06-05
+12.98% - - - -
-
Norden SRI
FR0000299356
reinvestment
EUR
Lazard Fr. Gestion 275.5500
2024-06-05
+8.04% - - - -
-
Oasis
FR0013344512
paying dividend
EUR
Lazard Fr. Gestion 133.2400
2024-06-06
+4.53% - - - -
-
Objectif Gestion Sélective
FR0000025041
paying dividend
EUR
Lazard Fr. Gestion 2,713.0801
2024-06-06
+3.67% - - - -
-
Objectif Monde Sicav
FR0000283210
paying dividend
EUR
Lazard Fr. Gestion 329.4100
2024-06-06
+3.17% - - - -
-
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