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World Funds

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France - Funds

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Condition

Frequency

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%

Frequency

Frequency

Delivery Method

Status

 NameSymbolLastChg. %Total AssetsTime
 Croissance Diversifiée I0P0000.15,003.560+0.05%625.48M21/05 
 Croissance Diversifiée Egeva0P0001.35.630+0.06%625.48M21/05 
 Natixis Actions US Growth N USD0P0000.42,182.890+0.57%583.19M21/05 
 Natixis Actions US Growth I USD0P0000.606,011+0.57%583.19M21/05 
 Natixis Actions US Growth R USD0P0000.53,481.610+0.57%583.19M21/05 
 Natixis Actions US Growth I EUR0P0000.527,894+0.72%583.19M21/05 
 Natixis Actions US Growth R EUR0P0001.45,899.230+0.71%583.19M21/05 
 Ecureuil Profil 30 D0P0000.47.750+0.04%394.22M21/05 
 Ecureuil Profil 30 C0P0000.64.230+0.05%394.22M21/05 
 Ecureuil Bénéfices Responsable D0P0000.80.220+0.11%298.02M21/05 
 DNCA Global New World RC0P0000.135.680-0.11%215.16M27/05 
 Seeyond Actions CAC 40 M0P0000.2,693.570+0.07%134.6M21/05 
 Ecureuil Harmonie RD0P0000.53.450+0.06%56.6M21/05 
 Ecureuil Tonique D0P0000.57.650+0.10%53.3M21/05 
 Natixis Stratégie Min Variance Europe0P0000.964.130-0.16%45.54M21/05 
 Ecureuil Profil 500P0000.60.040+0.07%12.69M21/05 

Luxembourg - Funds

 NameSymbolLastChg. %Total AssetsTime
 NATIXIS International Fund(Lux) I -Harris Associat0P0000.389.800-0.33%1.27B22/05 
 Natixis AM Funds - Seeyond Europe MinVariance I/A 0P0001.25,977.560-0.09%301.05M21/05 
 Natixis AM Funds - Seeyond Europe MinVariance R/A 0P0001.2,281.620-0.11%301.05M21/05 
 Natixis AM Funds - Seeyond Europe MinVariance SI/D0P0001.80,705.240-0.09%301.05M21/05 
 Natixis AM Funds - Natixis Conservative Risk Parit0P0000.91.570+0.16%56.72M21/05 
 Natixis AM Funds - Natixis Conservative Risk Parit0P0000.111.810+0.16%56.72M21/05 
 Natixis AM Funds - Natixis Conservative Risk Parit0P0000.8,672.210+0.57%56.72M03/11 
 Natixis AM Funds - Natixis Conservative Risk Parit0P0000.11,952.160+0.17%56.72M21/05 
 Natixis AM Funds - Natixis Conservative Risk Parit0P0000.88.880+0.16%56.72M21/05 
 Natixis AM Funds - Natixis Conservative Risk Parit0P0000.102.790+0.16%56.72M21/05 
 Natixis AM Funds Natixis Euro Value Equity I/A (0P0001.13,933.030+0.19%5.56M21/10 
 Natixis AM Funds Natixis Euro Value Equity M/D (0P0001.61,470.420-0.99%5.56M21/02 
 Natixis AM Funds Natixis Euro Value Equity I/D (0P0001.12,810.650+0.19%5.56M06/03 
 Natixis AM Funds Natixis Euro Value Equity R/A (0P0001.119.910+0.49%5.56M18/01 
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