FEATURES
International equity sub-fund, which invests in Multi-manager equity funds by taking advantage of Russell Investments' privileged access to the management boutique. Indeed, Russell Investments operates in open architecture, by selecting and identifying the best exclusive managers.
A diversified and transparent approach with a watchful eye on risks: the Russell Investments Global Equity Fund of Funds actually makes it possible to efficiently combine global and regional strategies to optimise the level of alpha diversification and reduce risks.
NAV PRICE
Russell Investments Global Equity Fund
Date02/21/2025
PriceShare278.587 €
Historical data
Date
Value €
02/20/2025
281.504
02/19/2025
281.151
02/17/2025
279.189
02/05/2025
277.958
Russell Investments Global Equity Fund
Date02/21/2025
PriceShare367.227 €
Historical data
Date
Value €
02/20/2025
371.067
02/19/2025
370.596
02/17/2025
367.999
02/05/2025
366.313
NOTICES
PERFORM. SCENARIOS
LU0559616114
LU0668369670
PAST PERFORM.
LU0559616114
LU0668369670
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Last revision: 15 January 2025