Lazard Rathmore Alternative Fund A Dist JPY Hedged WKN A404UG | ISIN IE00BKY40T63 | Fonds Watchlist Musterdepot Alert Factsheet 17.06.25 10.096,64 JPY -0,15 % (-15,08) ausschüttend Lazard Rathmore Alternative Fund S Acc EUR Hedged (thesaurierend) Lazard Rathmore Alternative Fund EA Dist EUR Hedged (ausschüttend) Lazard Rathmore Alternative Fund EA Dist USD (ausschüttend) Lazard Rathmore Alternative Fund EA Acc EUR Hedged (thesaurierend) Lazard Rathmore Alternative Fund EA Acc USD (thesaurierend) Lazard Rathmore Alternative Fund S Dist GBP Hedged (ausschüttend) Lazard Rathmore Alternat.F.S Dis USD (ausschüttend) Lazard Rathmore Alternative Fund S Acc GBP Hedged (thesaurierend) Lazard Rathmore Alternative Fund A Acc CHF Hedged (thesaurierend) Lazard Rathmore Alternative Fund C Acc CHF Hedged (thesaurierend) Lazard Rathmore Alternative Fund S Acc CHF Hedged (thesaurierend) Lazard Rathmore Alternative Fund BP Acc EUR Hedged (thesaurierend) Lazard Rathmore Alternative Fund C Acc USD (thesaurierend) Lazard Rathmore Alternative Fund C Acc EUR Hedged (thesaurierend) Lazard Rathmore Alternative Fund A Acc GBP Hedged (thesaurierend) Lazard Rathmore Alternative Fund A Dist JPY Hedged (ausschüttend) Lazard Rathmore Alternative Fund BP Acc USD (thesaurierend) Lazard Rathmore Alternative Fund C Acc GBP Hedged (thesaurierend) Lazard Rathmore Alternative Fund EA Acc CHF Hedged (thesaurierend) Lazard Rathmore Alternative Fund EA Dist GBP Hedged (ausschüttend) Lazard Rathmore Alternative Fund S Acc GBP (thesaurierend) Lazard Rathmore Alternative Fund S Acc USD (thesaurierend) Lazard Rathmore Alternative Fund S Dist EUR Hedged (ausschüttend) Lazard Rathmore Alternative Fund S Dist GBP (ausschüttend) Lazard Rathmore Alternative Fund X Acc EUR (thesaurierend) Lazard Rathmore Alternative Fund A Acc EUR Hedged (thesaurierend) Lazard Rathmore Alternative Fund A Acc USD (thesaurierend) Lazard Rathmore Alternative Fund N Acc EUR Hedged (thesaurierend) Verkaufen Kaufen Übersicht Profile / Kennzahlen Chart-Pro Risikomatrix Kurse & Handelsplätze Fondsprofil Ausschüttungen Datum Betrag 01.04.2025 47,75 JPY