Static data

Name
NAT Harris Ass. Global Equity N EUR
Sicav
NATIXIS Internat. (Lux) I
Assogestioni category
International Equity
Official Benchmark
-
SRRI (risk value)
4
Start date
4/13/2018
Currency
United States Dollar
NAV Currency
Euro
Status
Active
Income distribution
Accumulation

FIDArating

Date
-
Rating
3
Score
35.01
Category
Equity World (Developed Markets) - Large & Mid Cap

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
0.85%

Subscription fee
4.00%
Performance Fee
0.00%
Redemption fee
0.00%

Single payment solution

Initial payment
-
Subsequent payment
-
Transaction currency
-


FondiDoc SmartHelpDesk