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AXA NL - Aandelen Internationaal I EUR

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 EUR

Data as at:

Past performance should not be used as a guide to future performance.

AXA NL - Aandelen Internationaal

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Objective & investment strategy:  -
Performance indicator:  100% MSCI WORLD Total Return Net
Fund 1st NAV date: 24/11/06
Subscription and redemption conditions:  -
ISIN: Acc: LU0271240466

Accounting currency: EUR
European passport: No
Launch date: 24/11/06

Asset class: Quantitative Equity
Investment expertise: Equity Quantitative Broad Market/Large Cap
Legal authority classification: -
Legal form: SICAV
Investment area: Global
Fund agreement date: -

Legal authority: Commission de Surveillance du Secteur Financier
Custodian: State Street Bank Luxembourg
Investment manager: AXA Rosenberg Investment Management Ltd (UK)
Management company: AXA Funds Management SA (Luxembourg)
Promoter: -
Transfer agent: Acc: -

Recommended investment horizon: -
Risk profile: C

Risk of capital loss but limited to invested capital