LOYS Sicav - LOYS Global P

  • Isin: LU0107944042
  • As at: 12.01.2026
  • Redemption price: 26.26 EUR
  • Issue price: 27.57 EUR

Fondsdaten

Fund name:LOYS Sicav - LOYS Global P
WKN:926229
ISIN:LU0107944042
Valor:1045557
Information Agent:LOYS AG
Fund Manager:Dr. Christoph Bruns
Net-Asset-Value (NAV):26.26 EUR (12.01.2026)
Agio:5.00%
Management Fee:0.80%
Ongoing Charges:1.77% (13.10.2023)
Distribution Policy:Distributing
Partial exemption:30%
Date of Inception:19.02.2000
AuM in Strategy:106,710,191.13 EUR (12.01.2026)
Liquidity / Price Fixing:Daily

Downloads