Lyxor MSCI World U.E.Dist/  FR0010315770  /

Fonds
NAV12/6/2019 Chg.+2.3985 Type of yield Investment Focus Investment company
205.5506EUR +1.18% paying dividend Equity Lyxor Int. AM 

Funds documents

Date Document Year Language Filesize
12/9/2019 Public WebStation Live Factsheet 2019 English -
9/5/2019 Prospectus 2019 English 5,387.60 KB
4/30/2019 Semi-annual report 2019 English 229.58 KB
2/20/2019 Key Investor Information 2019 German 206.33 KB
10/31/2018 Account statment 2018 English 68,273.05 KB
9/6/2018 Key Investor Information 2018 English 187.55 KB
3/31/2016 Account statment 2016 French 821.77 KB
4/30/2011 Prospectus 2011 German 989.02 KB
3/31/2011 Account statment 2011 German 2,338.43 KB
9/30/2010 Semi-annual report 2010 German 269.60 KB