Fund objective
-
USD 10.547
NAV as of 29 Apr 2026
-
$-0.03
Daily $ Change
-
-0.27 %
Daily % Change
-
Morningstar rating
Fund facts
- Asset classEquity
- ClassC
- Subscription methodCash
- ISIN codeLU3297617626
- Minimum initial investmentUSD 10 Mil
- Minimum subsequent investmentUSD 1,000
- Inception date 09 Mar 2026
- Base currencyUSD
- Initial sales chargeNA
- Annual management feesMax 0.625%
- Benchmark indexMSCI AC World Index
- Morningstar rating *
Footnote:
* Rating should not be taken as a recommendation. © 2026 Morningstar. All rights reserved.