SYZ Asset Management awarded "Best Group over 3 years - Overall Small Company" by Lipper Fund Awards Switzerland 2017 - Seite 2
Administrative information
OYSTER Continental European Selection
Available share classes | ISIN | Mgmt Fee | Perf. fee |
C EUR | LU0995827663 | 1.75% | None |
I EUR | LU0995828042 | 0.80% | None |
I GBP | LU0995827747 | 0.65% | None |
R EUR | LU0995827580 | 1.00% | None |
R GBP | LU0995827317 | 1.00% | None |
* The percentage indicated for the performance fee applies to net annual outperformance relative to the following benchmark: MSCI Europe Ex UK NR GBP
Risk profile:
Lower
risk
Higher risk
Potentially lower
risk
Potentially higher risk
1 | 2 | 3 | 4 | 5 | 6 | 7 |
Lesen Sie auch
The Funds' current Prospectus and Key Investor Information Document, by - laws and the Annual and Half Yearly Reports can be obtained on the website, www.syzassetmanagement.com or from the OYSTER offices at 11-13 Boulevard de la Foire, L- 1528 Luxembourg or from the Agents and Representatives listed on the website for the specific jurisdictions where the Funds are registered. The availability of share classes to invest in may differ from country to country depending on where the OYSTER Continental European Selection Fund is registered.