Lazard Convertible Europe PC H-EUR/  FR0010642611  /

Fonds
NAV2024-06-19 Chg.-39.0801 Type of yield Investment Focus Investment company
16,387.9492EUR -0.24% reinvestment Bonds Lazard Fr. Gestion 
     
Chart for Lazard Convertible Europe PC H-EUR
  Name   ISIN Performance Volatility Sharpe ratio
1. Jupiter Financ.Contingent Cap.Fd.I USD IE00BF47CW72 +16.37% 4.57% 2.77
2. Jupiter Financ.Contingent Cap.Fd.I GBP H IE00BF47CV65 +15.92% 4.56% 2.68
3. Jupiter Financ.Contingent Cap.Fd.L USD IE00BF47CT44 +15.50% 4.57% 2.58
4. Jupiter Financ.Contingent Cap.Fd.I EUR H IE00BFYVC072 +14.34% 4.55% 2.34
5. Jupiter Financ.Contingent Cap.Fd.L EUR H IE00BFYVC189 +13.42% 4.55% 2.14
6. CM-AM CONVERTIBLES EURO IC FR0013384617 +7.82% 4.64% 0.89
7. CM-AM CONVERTIBLES EURO S FR0013481082 +7.64% 4.68% 0.84
8. CM-AM CONVERTIBLES EURO RC FR0013384591 +7.21% 4.72% 0.74
9. Ofi Invest ESG Eur.Conv.Bd.GI EUR FR0013274941 +6.70% 5.03% 0.59
10. Ofi Invest ESG European Convertible Bond ACTION GR FR0013275138 +6.64% 5.02% 0.58