Natixis Euro High Income Fund

Fund highlights

Risks

Fund basics

ISIN LU0556616935
Bloomberg Ticker NATEHIA LX
SEDOL B5KYC22
Reference index BofA Merrill Lynch Euro High Yield, BB-B Rated Constrained Index
Morningstar Category Europe OE EUR High Yield Bond
IMA Sector N/A
Asset class Fixed-Income
Region N/A
Fund inception date 18/11/2010
Share class inception date 18/11/2010

Daily stats

as of (17/08/2018)
NAV EUR 155.14

Portfolio managersRead more

Erwan Guilloux, FRM
Ostrum Asset Management
Managed the fund since 2015

Nolwenn Le Roux, CFA
Ostrum Asset Management
Managed the fund since 2011

Florent Rouget de Conigliano, CFA
Ostrum Asset Management
Managed the fund since 2015

Literature