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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

Currency
Asset category
Dividend paying
Type
Morningstar
Strategy
Fund name
Factsheet
Prospectus
PRIIP
Articles
Annual
Semi-annual report
  • BP Global Premium Equities D EUR
    ISIN: LU0203975437
    DEUR
    534.20
    ( )
    BP Global Premium Equities D EUR
    ISIN: LU0203975437
  • Chinese Equities D EUR
    ISIN: LU0187077309
    DEUR
    113.54
    ( )
    Chinese Equities D EUR
    ISIN: LU0187077309
  • Chinese Equities I EUR
    ISIN: LU0440072238
    IEUR
    119.04
    ( )
    Chinese Equities I EUR
    ISIN: LU0440072238
  • Emerging Markets Equities D EUR
    ISIN: LU0187076913
    DEUR
    303.48
    ( )
    Emerging Markets Equities D EUR
    ISIN: LU0187076913
  • Emerging Markets Equities I EUR
    ISIN: LU0209325462
    IEUR
    587.76
    ( )
    Emerging Markets Equities I EUR
    ISIN: LU0209325462
  • Emerging Markets Equities M EUR
    ISIN: LU0128640439
    MEUR
    213.95
    ( )
    Emerging Markets Equities M EUR
    ISIN: LU0128640439
  • Emerging Stars Equities D EUR
    ISIN: LU0254836850
    DEUR
    360.79
    ( )
    Emerging Stars Equities D EUR
    ISIN: LU0254836850
  • Emerging Stars Equities I EUR
    ISIN: LU0254839870
    IEUR
    275.69
    ( )
    Emerging Stars Equities I EUR
    ISIN: LU0254839870
  • High Yield Bonds DH EUR
    ISIN: LU0085136942
    DHEUR
    169.28
    ( )
    High Yield Bonds DH EUR
    ISIN: LU0085136942
  • High Yield Bonds IH EUR
    ISIN: LU0227757233
    IHEUR
    272.81
    ( )
    High Yield Bonds IH EUR
    ISIN: LU0227757233

*) 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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