|
BI SICAV - Global Emerging Markets Equities SRI R
Fund information
| Name |
Global Emerging Markets Equities SRI R |
| ISIN code |
LU0304976607 |
| Status |
Quoted |
| Currency |
EURO |
| Risk profile |
6 |
|
Price information (Updated:
05/21/2013)
|
| Net asset value |
114.55 |
| Fund assets (mill. EUR) |
1 |
| Units in circulation |
8,038 |
|
Investment profile
|
| Investment area |
The fund is an emerging market equity product with an ethical overlay. |
| Benchmark |
MSCI Emerging Markets incl.net dividends. |
|
Return & Risk
|
| Year-to-date return 05/21/2013 |
3.66 |
|
Other information
|
| Max subscription fee |
1.25 |
| Max redemption fee |
0.00 |
| Start date |
October, 2007 |
| Bloomberg |
BIGEMQR LX |
| Administrator |
RBC Dexia Investor Services Bank S.A. |
| Custodian Bank |
RBC Investor Services Bank S.A., Luxembourg |
| ISIN code |
LU0304976607 |
| Start date |
October, 2007 |
| Status |
Quoted |
| Currency |
EURO |
| Fund assets (mill. EUR) |
1 |
| Risk profile |
|
 |
|
More fund information
More information
Online materials
All online materials are in PDF-format.
|
|
|