Static data
- Name
- Lyxor Index Europe SE Cap EUR
- Sicav
- Lyxor Index Fund
- Assogestioni category
- Others
- Official Benchmark
-
| MSCI Europe Net TR (EUR) |
(100.00%) |
- SRRI (risk value)
- 5
- Start date
- 8/2/2010
- Currency
- Euro
- NAV Currency
- Euro
- Status
- Active
- Income distribution
- Accumulation
FIDArating
- Date
- -
- Rating
-
-
- Score
- -
- Category
- Equity Europe (Emerging & Developed Markets)
Issuing company
- Name
- Lyxor Asset Management Lux.
- Address
- 15 Boulevard Prince Henri - -
Lussemburgo
- Web
- www.lyxor.com
Fida factsheet
Factsheet of all key data and Key performance of ETF/fund (by FIDA)
Download
Last update 6/30/2020.
Investments and fees
not available
Single payment solution
- Initial payment
- -
- Subsequent payment
- -
- Transaction currency
- -