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Zest Absolute Return VaR4 R - EUR

Data 16.08.2018
NAV 131,56
YTD -1,82%
Codice ISIN LU0397464685
Classe R - EUR

Zest Absolute Return VaR4 I - EUR

Data 16.08.2018
NAV 136,77
YTD -1,46%
Codice ISIN LU0438908591
Classe I - EUR

Zest Dynamic Opportunities R1 - EUR

Data 16.08.2018
NAV 103,72
YTD -0,80%
Codice ISIN LU0438908914
Classe R1 - EUR

Zest Global Value R1 - EUR

Data 16.08.2018
NAV 105,83
YTD -3,28%
Codice ISIN LU0438908757
Classe R1 - EUR

Zest Global Value R2 - EUR

Data 16.08.2018
NAV 94,37
YTD -3,04%
Codice ISIN LU1138495921
Classe R2 - EUR

Zest North America Pairs Relative R - EUR

Data 16.08.2018
NAV 914,08
YTD 0,14%
Codice ISIN LU1216084993
Classe R - EUR

Zest North America Pairs Relative R - USD

Data 16.08.2018
NAV 95,47
YTD 1,55%
Codice ISIN LU1532291983
Classe R - USD

Zest Mediterraneus Absolute Value R - EUR

Data 16.08.2018
NAV 958,36
YTD -1,08%
Codice ISIN LU1216091931
Classe R - EUR

Zest Mediterraneus Absolute Value I - EUR

Data 16.08.2018
NAV 990,21
YTD -0,47%
Codice ISIN LU1216091261
Classe I - EUR

Zest Emerging Markets R - EUR

Data 16.08.2018
NAV 111,17
YTD -8,06%
Codice ISIN LU0499300621
Classe R - EUR

Zest Derivatives Allocation R1 - EUR

Data 16.08.2018
NAV 1.077,99
YTD 1,74%
Codice ISIN LU1216085701
Classe R1 - EUR

Zest Derivatives Allocation R - CHF

Data 16.08.2018
NAV 103,30
YTD 1,39%
Codice ISIN LU1532289656
Classe R - CHF

Global Opportunities R - USD

Data 16.08.2018
NAV 103,24
YTD -1,83%
Codice ISIN LU1532289144
Classe R - USD

Global Opportunities I - USD

Data 16.08.2018
NAV 103,88
YTD -1,57%
Codice ISIN LU1532289060
Classe I - USD

Global Opportunities R - EUR

Data 16.08.2018
NAV 99,62
YTD -3,44%
Codice ISIN LU1532289490
Classe R - EUR

Global Opportunities I - EUR

Data 16.08.2018
NAV 100,27
YTD -3,19%
Codice ISIN LU1532289227
Classe I - EUR

Zest Global Equity R - EUR

Data 16.08.2018
NAV 1.015,56
YTD -0,42%
Codice ISIN LU1628002484
Classe R - EUR

Zest Global Equity I - EUR

Data 16.08.2018
NAV 51.171,14
YTD 0,01%
Codice ISIN LU1628003532
Classe I - EUR
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