EQUITIES / THEMES
In line with regulations of the French regulatory body, AMF, performance communication of this share class is prohibited within the first year of existence.
Echiquier Go Local B
Class B - LU2541409707 - NAV : 102,05€
As of 06/02/2023
Fund Managers
Characteristics
General characteristics of the fund | |
Fund Inception | 15/12/2022 |
Legal form | Sicav (sub-fund) |
Reference indicator | MSCI ACWI NET RETURN EUR |
Investment horizon | 5 years |
Periodicity and Listing currency | (EUR) |
Custodian | BNP Paribas Luxembourg |
Fund Administrator | BNP Paribas Luxembourg |
SFDR classification | Article 8 |
Share class characteristics | |
Fund Inception | 08/02/2022 |
ISIN Code | LU2541409707 |
SRI PRIIPS | 4/7 |
Minimum subscription amount | Null |
Investor profile | All investors |
Tax included Including tax | 1,65% |
Maximum subscription fee | 3,00% |
Redemption fee | 0,00% |
Legal information