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Fund Selector

Important information: The value of the investments may fluctuate. Past performance is no guarantee of future results. This fund selector shows a listing of all available products managed by Robeco Institutional Asset Management B.V.

Important information: The value of the investments may fluctuate. Past performance is no guarantee of future results. This fund selector shows a listing of all available products managed by Robeco Institutional Asset Management B.V.

0 share classes found

Fund Type
Asset category
Morningstar
Currency
SFDR
Strategy
Dividend paying
Type
  • QI US SDG & Climate Beta Equities SEH EUR
    ISIN: LU2501124080
    SEH
    EUR
    830.23
    ( )
  • QI US SDG & Climate Beta Equities SE USD
    ISIN: LU2501123785
    SE
    USD
    912.87
    ( )
  • Emerging Stars Equities K EUR
    ISIN: LU2740243568
    K
    EUR
    196.28
    ( )
  • QI Emerging Markets Enhanced Index Equities Plus K EUR
    ISIN: LU3282759458
    K
    EUR
    122.05
    ( )
  • QI Emerging Markets Enhanced Index Equities Plus K USD
    ISIN: LU3282758997
    K
    USD
    119.91
    ( )
  • QI Global Enhanced Index Equities K EUR
    ISIN: LU3282759888
    K
    EUR
    112.72
    ( )
  • QI Global Enhanced Index Equities K USD
    ISIN: LU3282760209
    K
    USD
    111.37
    ( )
  • Emerging Stars Equities IL USD
    ISIN: LU1278322851
    IL
    USD
    322.11
    ( )
  • Emerging Markets Bonds IH EUR
    ISIN: LU2862983546
    IH
    EUR
    112.79
    ( )
  • Emerging Markets Bonds Local Currency IH EUR
    ISIN: LU2895059116
    IH
    EUR
    115.40
    ( )
  • Global Credits IH EUR
    ISIN: LU1071420456
    IH
    EUR
    122.09
    ( )
  • Global Green Bonds IH NOK
    ISIN: LU2365448690
    IH
    NOK
    94.31
    ( )
  • High Income Green Bonds IH USD
    ISIN: LU2818102431
    IH
    USD
    113.27
    ( )
  • High Yield Bonds IH EUR
    ISIN: LU0227757233
    IH
    EUR
    278.61
    ( )
  • High Income Green Bonds IEH USD
    ISIN: LU2818100732
    IEH
    USD
    107.29
    ( )

*) 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.

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