ONE1797 Fixed Income Strategy H kap

LU1515203245

01/12/2021

103.07 EUR

  • Founding date of the fund
  • Currency
  • Notional net assets in EUR 54,427,512
  • Listing frequency
  • Withholding tax rate

  • Maximum management fee
  • Ongoing charges
  • Minimum deposit
    -
    EUR
  • Entry fees
  • Exit costs
  • Custodian and administration fee
  • Swing pricing
  • Dilution levy Dilution levy TODO 0%

  • 1
  • 2
  • 3
  • 4
  • 5
  • 6
  • 7

  • 2020 +1.5%
  • 2019 +3.9%
  • 2018 -2.2%
  • 2017 +0.2%

  • -0.4%

  • 1Y -0.4%
  • 3Y +1.7%
  • 5Y +0.6%

Why choose a fund managed by Cadelux S.A.?

"Do you prefer certainty, or are you able to take some more risk? It’s up to you. Your assets deserve our utmost care."

Philippe Peiffer, Portfolio manager

More about Cadelux S.A.