Fund Selector

Find your fund

Asset category
Morningstar
Currency
SFDR
Strategy
Dividend paying
Type
  • Smart Energy D CHF
    ISIN: LU2145461674
    17.94%
    25.05%
    26.32%
    11.49%
    5 / 5
    23456
    65.60
    ( )
  • Smart Energy D EUR
    ISIN: LU2145461757
    18.30%
    26.65%
    27.98%
    14.70%
    5 / 5
    23456
    71.79
    ( )
  • Smart Energy D USD
    ISIN: LU2145461914
    19.30%
    41.16%
    36.05%
    14.49%
    5 / 5
    23456
    83.60
    ( )
  • Smart Energy DH EUR
    ISIN: LU2451385632
    19.07%
    35.40%
    32.10%
    134.82
    ( )
  • Smart Energy E EUR
    ISIN: LU2145462052
    18.31%
    26.63%
    27.99%
    14.70%
    5 / 5
    23456
    35.59
    ( )
  • Smart Energy F CHF
    ISIN: LU2145462219
    18.16%
    25.82%
    27.26%
    12.33%
    5 / 5
    23456
    243.88
    ( )
  • Smart Energy F EUR
    ISIN: LU2145462300
    18.52%
    27.43%
    28.94%
    15.57%
    5 / 5
    23456
    46.42
    ( )
  • Smart Energy F USD
    ISIN: LU2145462482
    19.53%
    42.05%
    37.08%
    15.35%
    5 / 5
    23456
    298.52
    ( )
  • Smart Energy G GBP
    ISIN: LU2145462565
    20.41%
    35.44%
    34.17%
    14.99%
    5 / 5
    23456
    41.37
    ( )
  • Smart Energy I CHF
    ISIN: LU2145462649
    18.16%
    25.85%
    27.29%
    12.37%
    5 / 5
    23456
    77.08
    ( )
  • Smart Energy I EUR
    ISIN: LU2145462722
    18.54%
    27.47%
    28.97%
    15.60%
    5 / 5
    23456
    82.51
    ( )
  • Smart Energy I GBP
    ISIN: LU2145462995
    20.40%
    35.44%
    34.18%
    15.01%
    5 / 5
    23456
    72.44
    ( )
  • Smart Energy I USD
    ISIN: LU2145463027
    19.53%
    42.07%
    37.12%
    15.39%
    5 / 5
    23456
    96.30
    ( )
  • Smart Energy IE EUR
    ISIN: LU2145463290
    18.54%
    27.47%
    28.97%
    5 / 5
    23456
    141.60
    ( )
  • Smart Energy K1 EUR
    ISIN: LU3198636568
    100.79
    ( )

*The current price is compiled using the fund's Net Asset Value, plus or minus surcharge or reduction associated with the transaction costs in the fund, as stated in the prospectus.