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CREDIT SUISSE (LUX) FLOATING RATE CREDIT FUND IB USD | Umbrella Fund | CS INVESTMENT FUNDS 1 SICAV | Currency | USD | Dates | Promoter | Credit Suisse Fd Management Sa | Country | LUX | Inception | 03/03/2014 | | Nature | SICAV | Closing | - | EP Category | Bond international inflation | ISIN | LU1034382256 | Rating category | Bond international inflation | Etoiles EuroPerformance | |
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Europerformance Categories | | | Ss Family : | Bond international |
| | | Type : | Bond international inflation |
| | | | Cat : | Bond international inflation |
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| | NAV | Date | 30/05/2024 | VL | 126.52 | Variation | 0.02 | Currency | USD | Net Assets (at the end of the month) | 18.973 (Million €) | Total Net asset (subfund level)(end of month) | only to registered users |
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| | Evolution of the NAV | |
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Management | Management company | Credit Suisse Fd Management Sa | Custodian | Credit Suisse Luxembourg Sa | | | | | Risk profile | | Accum. / Distri. | Accumulation | Frequency | Daily | Frequency of the dividends | | Geographical investment zone | World | Max. management fees | 0.70% |
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| | Marketing countries | Distributed AUT | | Distributed CHE | | Distributed DEU | | Distributed ESP | | Distributed FRA | | Distributed GBR | | Distributed ITA | | Distributed LUX | | Distributed NLD | |
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| | | Accumulation fund | |
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Subscription / Redemption | Subscription fees | Redemption fees | Min / Max | Maximum 3.00 % | Min / Max | Fixed 0.00 % | dedicated to the fund | - | dedicated to the fund | - | Subscription | Unknown price | Redemption | Unknown price | Recommended minimum investment period | At least 60 Month |
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