Natixis Global Inflation Fund

Fund highlights

Risks

The Fund invests primarily in fixed income securities around the world. Fixed income investments are typically sensitive to changes in interest rates, and the Fund could lose value when interest rates rise. The Fund is subject to specific risks, including variation in inflation rates risk, changing interest rates risk and derivatives/counterparty risk.

An investor's capital will be at risk; you may get back less than you invested. Please refer to the full prospectus for additional details on risks.

Fund basics

ISIN LU0255251679
Bloomberg Ticker IXEURUR LX
SEDOL B4PJ4W9
Reference index Barclays Wld Govt Infln Lkd TR Hdg EUR
Morningstar Category Global Inflation-Linked Bond – EUR Hedged
IMA Sector N/A
Asset class Fixed-Income
Region N/A
Fund inception date 04/06/2009
Share class inception date 26/10/2006

Daily stats

as of (17/08/2018)
NAV EUR 140.38

Portfolio managersRead more

Sophie Potard
Ostrum Asset Management
Managed the fund since 2006

Literature