Alternatives - Global Future Class B pLU2617476770
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LU2617476770 |
Alternatives & other, Global |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
|
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Alternatives - Global Future Class C pLU2617476002
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LU2617476002 |
Alternatives & other, Global |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
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![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Alternatives - Global Private Credit Class C pLU1295245374
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LU1295245374 |
Alternatives & other, Global |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000015340+15.34 % |
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Alternatives - Global Private Credit Class C-sek h pLU1295245457
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LU1295245457 |
Alternatives & other, Global |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
|
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Alternatives - Global Private Credit Class W pLU1611440295
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LU1611440295 |
Alternatives & other, Global |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000016880+16.88 % |
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Alternatives - Global Private Equity Class C pLU1295245614
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LU1295245614 |
Alternatives & other, Global |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000036069+36.07 % |
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Alternatives - Global Private Equity Class C-sek h pLU1295245705
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LU1295245705 |
Alternatives & other, Global |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
|
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Alternatives - Global Private Equity Class W pLU1611440378
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LU1611440378 |
Alternatives & other, Global |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000038494+38.49 % |
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Europe Long-Short Equity Factors Class A pLU1932898437
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LU1932898437 |
Alternatives & other, Europe |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000004012+4.01 % |
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Europe Long-Short Equity Factors Class A-nok h pLU1932898940
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LU1932898940 |
Alternatives & other, Europe |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
|
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Europe Long-Short Equity Factors Class A-sek h pLU1932898601
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LU1932898601 |
Alternatives & other, Europe |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000005155+5.16 % |
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Fixed Income Global Value Class C pLU1807294290
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LU1807294290 |
Alternatives & other, Global |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000021897+21.90 % |
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Fixed Income Global Value Class C-sek h pLU1807294613
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LU1807294613 |
Alternatives & other, Global |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000022669+22.67 % |
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Fixed Income Global Value Class W pLU1807295008
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LU1807295008 |
Alternatives & other, Global |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000022259+22.26 % |
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Global Alternative Opportunities Class A pLU2401887679
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LU2401887679 |
Alternatives & other, Global |
ARTICLE_6 |
ARTICLE_6 |
|
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Global Alternative Opportunities Class A-sek h pLU2401887752
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LU2401887752 |
Alternatives & other, Global |
ARTICLE_6 |
ARTICLE_6 |
|
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Global Alternative Opportunities Class I pLU2401887836
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LU2401887836 |
Alternatives & other, Global |
ARTICLE_6 |
ARTICLE_6 |
|
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Global Alternative Opportunities Class WA pLU2401887919
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LU2401887919 |
Alternatives & other, Global |
ARTICLE_6 |
ARTICLE_6 |
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![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Global Alternative Opportunities Class WI pLU2401888131
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LU2401888131 |
Alternatives & other, Global |
ARTICLE_6 |
ARTICLE_6 |
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![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Global Alternative Opportunities Class WI-nok h pLU2401888214
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LU2401888214 |
Alternatives & other, Global |
ARTICLE_6 |
ARTICLE_6 |
|
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Global Alternative Opportunities Class WI-sek h pLU2401888305
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LU2401888305 |
Alternatives & other, Global |
ARTICLE_6 |
ARTICLE_6 |
|
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Global Cross Asset Volatility Class C pLU1807292328
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LU1807292328 |
Alternatives & other, Global |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000018385+18.38 % |
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Global Cross Asset Volatility Class C-sek h pLU1807292831
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LU1807292831 |
Alternatives & other, Global |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000019220+19.22 % |
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Global Cross Asset Volatility Class W pLU1807293219
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LU1807293219 |
Alternatives & other, Global |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000018799+18.80 % |
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Hedge Fixed Income Relative Value Fund, DKK Sub-ClassGB00B0JF6306
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GB00B0JF6306 |
Alternatives & other, Global |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000020942+20.94 % |
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Hedge Fixed Income Relative Value Fund, DKK Sub-Class WGG00BZ05S054
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GG00BZ05S054 |
Alternatives & other, Global |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000021354+21.35 % |
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Hedge Fixed Income Relative Value Fund, EUR Sub-ClassGG00B7GHG499
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|
GG00B7GHG499 |
Alternatives & other, Global |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000021720+21.72 % |
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Hedge Fixed Income Relative Value Fund, EUR Sub-Class WGG00BKPRGR40
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GG00BKPRGR40 |
Alternatives & other, Global |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
|
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Hedge Fixed Income Relative Value Fund, NOK Sub-Class WGG00BPMPSJ20
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|
GG00BPMPSJ20 |
Alternatives & other, Global |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
|
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Hedge Fixed Income Relative Value Fund, SEK Sub-ClassGG00BM7S1D05
|
|
GG00BM7S1D05 |
Alternatives & other, Global |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000022097+22.10 % |
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Hedge Fixed Income Relative Value Fund, SEK Sub-Class WGG00BYWYXN15
|
|
GG00BYWYXN15 |
Alternatives & other, Global |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000022641+22.64 % |
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Hedge Fixed Income Relative Value Fund, USD Sub-ClassGG00BP268062
|
|
GG00BP268062 |
Alternatives & other, Global |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000028195+28.20 % |
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Hedge Fixed Income Strategies Fund, DKK Sub-ClassGB00B05BHT55
|
|
GB00B05BHT55 |
Alternatives & other, Global |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000021782+21.78 % |
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Hedge Fixed Income Strategies Fund, DKK Sub-Class AGB00B0XNFF59
|
|
GB00B0XNFF59 |
Alternatives & other, Global |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000020878+20.88 % |
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Hedge Fixed Income Strategies Fund, DKK Sub-Class IGG00B64DZB21
|
|
GG00B64DZB21 |
Alternatives & other, Global |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000022607+22.61 % |
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Hedge Fixed Income Strategies Fund, DKK Sub-Class WGG00BZ05S278
|
|
GG00BZ05S278 |
Alternatives & other, Global |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000021951+21.95 % |
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Hedge Fixed Income Strategies Fund, EUR Sub-ClassGG00B97KVQ87
|
|
GG00B97KVQ87 |
Alternatives & other, Global |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000023270+23.27 % |
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Hedge Fixed Income Strategies Fund, Obligationer Sub-ClassGB00B0XNFJ97
|
|
GB00B0XNFJ97 |
Alternatives & other, Global |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000021755+21.76 % |
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Hedge Fixed Income Strategies Fund, Obligationer Sub-Class WGG00BZ05S492
|
|
GG00BZ05S492 |
Alternatives & other, Global |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000022397+22.40 % |
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |
Hedge Fixed Income Strategies Fund, SEK Sub-ClassGB00B0XNFH73
|
|
GB00B0XNFH73 |
Alternatives & other, Global |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000021677+21.68 % |
![Key Information Document (PRIIPs)](/image/icon_pdf.png) |
![Factsheet](/image/icon_pdf.png) |