UCITS


Funds ISIN Code Asset class NAV NAV Date Year-to-date performance Newsletter Prospectus
BG Long Term Value FR0010137646 Equity 3 067 EUR 05/12/2019 18.36 %
Boussard & Gavaudan Absolute Return LU1063708694 Multi-Asset 1 080 EUR 04/12/2019 2.97 %
BG Convertible LU1209144648 Convertible bonds 1 090 EUR 05/12/2019 6.87 %
BG Equity Quantitative Trading LU1322516227 Equity 1 333 EUR 05/12/2019 23.11 %




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