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Zest Absolute Return VaR4 R - EUR

Data 21.06.2018
NAV 132,13
YTD -1,40%
Codice ISIN LU0397464685
Classe R - EUR

Zest Absolute Return VaR4 I - EUR

Data 21.06.2018
NAV 137,23
YTD -1,13%
Codice ISIN LU0438908591
Classe I - EUR

Zest Dynamic Opportunities R1 - EUR

Data 21.06.2018
NAV 103,54
YTD -0,98%
Codice ISIN LU0438908914
Classe R1 - EUR

Zest Global Value R1 - EUR

Data 21.06.2018
NAV 106,52
YTD -2,65%
Codice ISIN LU0438908757
Classe R1 - EUR

Zest Global Value R2 - EUR

Data 21.06.2018
NAV 94,93
YTD -2,47%
Codice ISIN LU1138495921
Classe R2 - EUR

Zest North America Pairs Relative R - EUR

Data 21.06.2018
NAV 909,07
YTD -0,40%
Codice ISIN LU1216084993
Classe R - EUR

Zest North America Pairs Relative R - USD

Data 21.06.2018
NAV 94,60
YTD 0,63%
Codice ISIN LU1532291983
Classe R - USD

Zest Mediterraneus Absolute Value R - EUR

Data 21.06.2018
NAV 972,77
YTD 0,41%
Codice ISIN LU1216091931
Classe R - EUR

Zest Mediterraneus Absolute Value I - EUR

Data 21.06.2018
NAV 1.003,49
YTD 0,87%
Codice ISIN LU1216091261
Classe I - EUR

Zest Emerging Markets R - EUR

Data 21.06.2018
NAV 116,23
YTD -3,87%
Codice ISIN LU0499300621
Classe R - EUR

Zest Derivatives Allocation R1 - EUR

Data 21.06.2018
NAV 1.075,50
YTD 1,51%
Codice ISIN LU1216085701
Classe R1 - EUR

Zest Derivatives Allocation R - CHF

Data 21.06.2018
NAV 103,16
YTD 1,26%
Codice ISIN LU1532289656
Classe R - CHF

Global Opportunities R - USD

Data 21.06.2018
NAV 102,90
YTD -2,15%
Codice ISIN LU1532289144
Classe R - USD

Global Opportunities I - USD

Data 21.06.2018
NAV 103,46
YTD -1,97%
Codice ISIN LU1532289060
Classe I - USD

Global Opportunities R - EUR

Data 21.06.2018
NAV 99,75
YTD -3,31%
Codice ISIN LU1532289490
Classe R - EUR

Global Opportunities I - EUR

Data 21.06.2018
NAV 100,33
YTD -3,13%
Codice ISIN LU1532289227
Classe I - EUR

Zest Global Equity R - EUR

Data 21.06.2018
NAV 1.013,04
YTD -0,67%
Codice ISIN LU1628002484
Classe R - EUR

Zest Global Equity I - EUR

Data 21.06.2018
NAV 50.987,02
YTD -0,35%
Codice ISIN LU1628003532
Classe I - EUR
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