Static data

Name
NAT. AM Conservative Risk Parity RE/A Cap EUR
Sicav
Natixis AM Funds
Assogestioni category
Bond Balanced
Official Benchmark
EONIA (100.00%)
SRRI (risk value)
2
Start date
6/17/2013
Currency
Euro
NAV Currency
Euro
Status
Active
Income distribution
Accumulation

FIDArating

Date
-
Rating
2
Score
37.71
Category
Total Return (Medium Volatility)

Issuing company

Name
Natixis Investment Man. Int.
Address
43, Avenue Pierre Mendès - 75013 Paris
Web
www.nam.natixis.com

Fida factsheet

Factsheet of all key data and Key performance of ETF/fund (by FIDA)

Download

Last update 1/31/2026.


Policy

-


Investments and fees

Management Fee
2.00%

Subscription fee
2.00%
Performance Fee
0.00%
Redemption fee
0.00%

Single payment solution

Initial payment
-
Subsequent payment
-
Transaction currency
-


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