LAZARD FUNDS

Les 6 types d'OPC

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INTEGRATION OF ESG CRITERIA

Currency

Currency hedging

Equities

Name of the UCIMorningstar overall rating Art SFDR / LabelDateAssets Under Management (all classes)Net Asset ValuePerformance
MTD
Performance
YTD
Lazard Actifs Reels "C"
FR0010119917
Notation Morningstar
Notation Morningstar
Art 828/05/20257,511 M€1153,44000 €4,47731 %8,03844 %
Lazard Actifs Reels "D"
FR0000291411
Notation Morningstar
Notation Morningstar
Art 828/05/20257,511 M€732,17000 €4,47780 %8,03973 %
Lazard Actions Americaines "PC EUR"
FR0007074695
Notation Morningstar
Notation Morningstar
Art 828/05/2025795,666 M€474,89000 €6,32262 %-8,35778 %
Lazard Actions Americaines "PC H-EUR"
FR0013254331
Art 828/05/2025795,666 M€344,78000 €5,58584 %-1,04756 %
Lazard Actions Americaines "RC EUR"
FR0010700823
Notation Morningstar
Notation Morningstar
Art 828/05/2025795,666 M€1180,95000 €6,23875 %-8,72942 %
Lazard Actions Americaines "RC H-EUR"
FR0013523487
Art 828/05/2025795,666 M€294,33000 €5,50597 %-1,44651 %
Lazard Actions Emergentes "I"
FR0010365288
Notation Morningstar
Notation Morningstar
Art 828/05/2025199,087 M€111957,18000 €5,88338 %4,37122 %
Lazard Actions Emergentes "R"
FR0010380675
Notation Morningstar
Notation Morningstar
Art 828/05/2025199,087 M€2030,62000 €5,84360 %4,16427 %
Lazard Actions Euro "IC"
FR0010259945
Notation Morningstar
Notation Morningstar
Art 828/05/202591,773 M€1201,38000 €4,87913 %13,33987 %
Lazard Actions Euro "ID"
FR0011710557
Notation Morningstar
Notation Morningstar
Art 828/05/202591,773 M€201,79000 €4,87501 %13,33970 %
Lazard Actions Euro "R"
FR0010679886
Notation Morningstar
Notation Morningstar
Art 828/05/202591,773 M€1907,95000 €4,87102 %13,29466 %
Lazard Actions Us Concentre "RC EUR"
FR0050000084
Notation Morningstar
Notation Morningstar
Art 628/05/202598,190 M€1249,09000 €6,20430 %-16,42479 %
Lazard Alpha Euro "I"
FR0010828913
Notation Morningstar
Notation Morningstar
Art 828/05/2025400,485 M€714,85000 €6,61606 %12,82355 %
Lazard Alpha Euro "IC"
FR0011744663
Notation Morningstar
Notation Morningstar
Art 828/05/2025400,485 M€561,91000 €6,61417 %12,82427 %
Lazard Alpha Euro "PVC G EUR"
FR001400F0I1
Art 828/05/2025400,485 M€373,98000 €6,62903 %12,90644 %
Lazard Alpha Euro "R"
FR0010830240
Notation Morningstar
Notation Morningstar
Art 828/05/2025400,485 M€610,92000 €6,54714 %12,44823 %
Lazard Alpha Euro "T"
FR0013305976
Notation Morningstar
Notation Morningstar
Art 828/05/2025400,485 M€435,59000 €6,61592 %12,82377 %
Lazard Dividend "C"
FR0010586024
Notation Morningstar
Notation Morningstar
Art 828/05/202549,842 M€438,67000 €6,11272 %14,78400 %
Lazard Dividend "D"
FR0010588327
Notation Morningstar
Notation Morningstar
Art 828/05/202549,842 M€240,14000 €6,11578 %14,78419 %
Lazard Dividend "RC"
FR0013135555
Notation Morningstar
Notation Morningstar
Art 828/05/202549,842 M€297,77000 €6,03589 %14,29833 %
Lazard Dividend "RD"
FR0012413219
Notation Morningstar
Notation Morningstar
Art 828/05/202549,842 M€227,99000 €6,03693 %14,30362 %
Lazard Epargne Actions
FR0007028550
Notation Morningstar
Notation Morningstar
Art 628/05/202582,114 M€108,18000 €4,88656 %4,70383 %
Lazard Equity Sri "MC EUR"
FR001400WNG3
Art 8 / ISR28/05/20251075,026 M€15,23000 €--
Lazard Equity Sri "PC EUR"
FR0000003998
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/20251075,026 M€3043,90000 €4,88178 %13,32422 %
Lazard Equity Sri "PD EUR"
FR0010990606
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/20251075,026 M€2195,01000 €4,88188 %13,32418 %
Lazard Equity Sri "RC EUR"
FR0013204187
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/20251075,026 M€1691,94000 €4,82380 %12,99336 %
Lazard Equity Sri "RD EUR"
FR0013318730
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/20251075,026 M€1584,95000 €4,82404 %12,99361 %
Lazard Equity Sri "UB C EUR"
FR001400NKM6
Art 8 / ISR28/05/20251075,026 M€10979,22000 €4,92033 %13,54486 %
Lazard Equity Sri "UC EUR"
FR0013204179
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/20251075,026 M€18404,40000 €4,90304 %13,44585 %
Lazard Europe Concentrated "A"
FR0000294613
Notation Morningstar
Notation Morningstar
Art 828/05/202552,068 M€870,55000 €3,15429 %9,09831 %
Lazard Europe Concentrated "F"
FR001400KC65
Art 828/05/202552,068 M€16042,56000 €3,17953 %9,24022 %
Lazard Europe Concentrated "R"
FR0011034131
Notation Morningstar
Notation Morningstar
Art 828/05/202552,068 M€466,05000 €3,09016 %8,74536 %
Lazard France
FR0007027412
Notation Morningstar
Notation Morningstar
Art 828/05/202520,842 M€140,99000 €3,46371 %7,12712 %
Lazard Green Capital "EC EUR"
FR001400M857
Art 9 / ISR28/05/202526,023 M€951,20000 €--
Lazard Green Capital "PC EUR"
FR001400M873
Art 9 / ISR28/05/202526,023 M€95,03000 €--
Lazard Green Capital "PVC EUR"
FR001400M865
Art 9 / ISR28/05/202526,023 M€955,96000 €--
Lazard Green Capital "RC EUR"
FR001400M881
Art 9 / ISR28/05/202526,023 M€95,43000 €--
Lazard Human Capital "AIS EUR"
FR001400TCH0
Art 9 / ISR28/05/202567,248 M€10,01000 €--
Lazard Human Capital "EC EUR"
FR0014009F63
Art 9 / ISR28/05/202567,248 M€1225,83000 €4,46287 %-1,72526 %
Lazard Human Capital "ED EUR"
FR0014009F71
Art 9 / ISR28/05/202567,248 M€1187,81000 €4,46235 %-1,72566 %
Lazard Human Capital "MC EUR"
FR001400MM46
Art 9 / ISR28/05/202567,248 M€14,80000 €4,51977 %
Lazard Human Capital "PC EUR"
FR0014009F48
Art 9 / ISR28/05/202567,248 M€1205,69000 €4,41858 %-1,96686 %
Lazard Human Capital "RC EUR"
FR0014009F89
Art 9 / ISR28/05/202567,248 M€119,40000 €4,33415 %-2,40314 %
Lazard Innovation "E"
FR0012044535
Notation Morningstar
Notation Morningstar
Art 828/05/2025193,589 M€271,41000 €9,16660 %-7,72448 %
Lazard Innovation "IC"
FR0012044519
Notation Morningstar
Notation Morningstar
Art 828/05/2025193,589 M€249,05000 €9,11281 %-7,98079 %
Lazard Innovation "RC"
FR0013341146
Notation Morningstar
Notation Morningstar
Art 828/05/2025193,589 M€167,81000 €9,19443 %-7,60888 %
Lazard Investissement Microcaps
FR0011042811
Notation Morningstar
Notation Morningstar
Art 623/05/2025231,907 M€269,91000 €7,47392 %8,63318 %
Lazard Investissement Pea-pme "A"
FR0011637156
Notation Morningstar
Notation Morningstar
Art 828/05/202547,251 M€213,31000 €6,98666 %11,68063 %
Lazard Investissement Pea-pme "AIS EUR"
FR001400TCD9
Art 828/05/202547,251 M€11,10000 €--
Lazard Investissement Pea-pme "M"
FR0011637180
Notation Morningstar
Notation Morningstar
Art 828/05/202547,251 M€240,23000 €7,07345 %12,15743 %
Lazard Investissement Pea-pme "R"
FR0011637164
Notation Morningstar
Notation Morningstar
Art 828/05/202547,251 M€200,65000 €6,93919 %11,43508 %
Lazard Japon "AC EUR"
FR0000004012
Notation Morningstar
Notation Morningstar
Art 828/05/2025198,590 M€277,97000 €2,27758 %-1,49545 %
Lazard Japon "AC H-EUR"
FR0014008M81
Art 828/05/2025198,590 M€1274,52000 €3,22507 %-1,12335 %
Lazard Japon "RC EUR"
FR0010734491
Notation Morningstar
Notation Morningstar
Art 828/05/2025198,590 M€456,67000 €2,24108 %-1,68992 %
Lazard Multigestion Actions
FR0010396416
Notation Morningstar
Notation Morningstar
Art 628/05/20255,451 M€164,97000 €2,16759 %7,37438 %
Lazard Patrimoine Actions
FR0013221116
Notation Morningstar
Notation Morningstar
Art 828/05/2025100,320 M€157,98000 €2,17968 %7,42554 %
Lazard Patrimoine Pea
FR0011232479
Notation Morningstar
Notation Morningstar
Art 828/05/202579,622 M€2642,55000 €3,05714 %7,98524 %
Lazard Small Caps Euro "I"
FR0000174310
Notation Morningstar
Notation Morningstar
Art 828/05/2025740,861 M€993,14000 €4,47727 %11,14170 %
Lazard Small Caps Euro "R"
FR0010689141
Notation Morningstar
Notation Morningstar
Art 828/05/2025740,861 M€1849,83000 €4,44880 %10,98358 %
Lazard Small Caps Euro "T"
FR0013284536
Notation Morningstar
Notation Morningstar
Art 828/05/2025740,861 M€220,91000 €4,50847 %11,32332 %
Lazard Small Caps France "A"
FR0010262436
Notation Morningstar
Notation Morningstar
Art 828/05/2025235,462 M€2895,37000 €6,63364 %5,49449 %
Lazard Small Caps France "R"
FR0010679902
Notation Morningstar
Notation Morningstar
Art 828/05/2025235,462 M€448,35000 €6,58251 %5,23660 %
Lazard Well-being "EC EUR"
FR001400GLN6
Art 828/05/202522,588 M€1175,17000 €3,15657 %,29358 %
Lazard Well-being "PC EUR"
FR001400GLK2
Art 828/05/202522,588 M€1173,98000 €3,10823 %,04943 %
Lazard Well-being "PVC EUR"
FR001400GLL0
Art 828/05/202522,588 M€1169,57000 €3,13214 %,17044 %
Lazard Well-being "RVC EUR"
FR001400GLM8
Art 828/05/202522,588 M€118,49000 €3,19631 %,73111 %
Norden Family "E"
FR0013353596
Notation Morningstar
Notation Morningstar
Art 828/05/202523,795 M€145886,70000 €4,71611 %4,86288 %
Norden Family "IC"
FR0013344892
Notation Morningstar
Notation Morningstar
Art 828/05/202523,795 M€138,13000 €4,65187 %4,52516 %
Norden Family "TC"
FR0013344884
Notation Morningstar
Notation Morningstar
Art 828/05/202523,795 M€145,91000 €4,71509 %4,86560 %
Norden Small IC
FR0011474980
Notation Morningstar
Notation Morningstar
Art 828/05/2025122,027 M€235,98000 €8,31230 %8,63641 %
Norden Small TC
FR0013305844
Notation Morningstar
Notation Morningstar
Art 828/05/2025122,027 M€130,80000 €8,37683 %8,98184 %
Norden Sri
FR0000299356
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/2025334,205 M€273,50000 €5,34628 %6,50726 %

Fixed Income

Name of the UCIMorningstar overall rating Art SFDR / LabelDateAssets Under Management (all classes)Net Asset ValuePerformance
MTD
Performance
YTD
Lazard Capital Fi Sri "PC EUR"
FR0014008DD5
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/20251961,107 M€1171,85000 €1,31940 %2,28334 %
Lazard Capital Fi Sri "PC H-USD"
FR0013476041
Art 8 / ISR28/05/20251961,107 M€1343,76000 $1,42427 %2,99853 %
Lazard Capital Fi Sri "PD H-USD"
FR0014008FI9
Art 8 / ISR28/05/20251961,107 M€1125,53000 $1,52257 %3,53823 %
Lazard Capital Fi Sri "PVC EUR"
FR0010952788
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/20251961,107 M€2435,59000 €1,33809 %2,37142 %
Lazard Capital Fi Sri "PVC F EUR"
FR00140053H5
Art 8 / ISR28/05/20251961,107 M€1197,14000 €1,35806 %2,47468 %
Lazard Capital Fi Sri "PVC H-CHF"
FR0013236783
Art 8 / ISR28/05/20251961,107 M€1192,29000 CHF1,16498 %1,43609 %
Lazard Capital Fi Sri "PVC H-USD"
FR0013072733
Art 8 / ISR28/05/20251961,107 M€1944,91000 $1,44640 %3,10331 %
Lazard Capital Fi Sri "PVD EUR"
FR0013043841
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/20251961,107 M€109557,78000 €1,33800 %2,38078 %
Lazard Capital Fi Sri "PVD F EUR"
FR00140053I3
Art 8 / ISR28/05/20251961,107 M€1037,07000 €1,35753 %2,48136 %
Lazard Capital Fi Sri "RC H-CHF"
FR001400FC96
Art 8 / ISR28/05/20251961,107 M€1128,92000 CHF1,08434 %1,04724 %
Lazard Capital Fi Sri "RD H-USD"
FR0014008FK5
Art 8 / ISR28/05/20251961,107 M€1116,72000 $1,49601 %3,43137 %
Lazard Capital Fi Sri "RVC EUR"
FR0013306727
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/20251961,107 M€132,92000 €1,28010 %2,05774 %
Lazard Capital Fi Sri "RVD EUR"
FR0010952796
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/20251961,107 M€132,97000 €1,27961 %2,06303 %
Lazard Capital Fi Sri "SC EUR"
FR0013311446
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/20251961,107 M€14851,27000 €1,35864 %2,49126 %
Lazard Capital Fi Sri "SD EUR"
FR0013476058
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/20251961,107 M€10062,46000 €1,35864 %2,49124 %
Lazard Capital Fi Sri "TVD EUR"
FR0013305968
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/20251961,107 M€100,43000 €1,34208 %2,37645 %
Lazard Credit Fi Sri "PC EUR"
FR0011844034
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/20252514,153 M€1570,58000 €,68918 %1,95394 %
Lazard Credit Fi Sri "PC H-CHF"
FR0013236791
Art 8 / ISR28/05/20252514,153 M€1280,19000 CHF,51033 %,93270 %
Lazard Credit Fi Sri "PC H-USD"
FR0013076932
Art 8 / ISR28/05/20252514,153 M€1787,33000 $,85033 %2,72366 %
Lazard Credit Fi Sri "PD EUR"
FR0013306743
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/20252514,153 M€1034,97000 €,68879 %1,95443 %
Lazard Credit Fi Sri "PD H-USD"
FR00140095N4
Art 8 / ISR28/05/20252514,153 M€1114,07000 $,84911 %2,72693 %
Lazard Credit Fi Sri "PVC EUR"
FR0010590950
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/20252514,153 M€19088,49000 €,71812 %1,98728 %
Lazard Credit Fi Sri "PVD EUR"
FR0012074151
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/20252514,153 M€108,89000 €,71217 %1,98558 %
Lazard Credit Fi Sri "RC EUR"
FR0014005U50
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/20252514,153 M€213,22000 €,63718 %1,67374 %
Lazard Credit Fi Sri "RD H-USD"
FR00140095O2
Art 8 / ISR28/05/20252514,153 M€218,71000 $,81589 %2,38932 %
Lazard Credit Fi Sri "RVC EUR"
FR0010752543
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/20252514,153 M€404,48000 €,66700 %1,83283 %
Lazard Credit Fi Sri "RVD EUR"
FR0013306735
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/20252514,153 M€207,69000 €,66402 %1,83378 %
Lazard Credit Fi Sri "TC EUR"
FR0013305935
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/20252514,153 M€256,05000 €,68816 %1,95103 %
Lazard Credit Opportunities "BC EUR"
FR001400MM38
Art 828/05/20251245,367 M€521,55000 €,33281 %-,22574 %
Lazard Credit Opportunities "FC EUR"
FR00140081X3
Notation Morningstar
Notation Morningstar
Art 828/05/20251245,367 M€1119,44000 €,31903 %-,30192 %
Lazard Credit Opportunities "MC EUR"
FR001400WNI9
Art 828/05/20251245,367 M€15,11000 €--
Lazard Credit Opportunities "PC EUR"
FR0010235507
Notation Morningstar
Notation Morningstar
Art 828/05/20251245,367 M€1510,38000 €,30416 %-,37728 %
Lazard Credit Opportunities "PC H-CHF"
FR001400F1B4
Art 828/05/20251245,367 M€969,29000 CHF,12913 %-1,42279 %
Lazard Credit Opportunities "PC H-USD"
FR001400BBI8
Art 828/05/20251245,367 M€1140,75000 $,47916 %,30952 %
Lazard Credit Opportunities "PC USD"
FR001400BBG2
Art 828/05/20251245,367 M€1211,88000 $-,27321 %8,73365 %
Lazard Credit Opportunities "PD EUR"
FR0012156347
Notation Morningstar
Notation Morningstar
Art 828/05/20251245,367 M€939,46000 €,30536 %-,37657 %
Lazard Credit Opportunities "PD H-USD"
FR001400D2C2
Art 8
Lazard Credit Opportunities "PVC EUR"
FR0013432143
Notation Morningstar
Notation Morningstar
Art 828/05/20251245,367 M€1272,48000 €,33353 %-,22504 %
Lazard Credit Opportunities "PVC H-CHF"
FR0014002XI5
Art 828/05/20251245,367 M€1039,18000 CHF,16193 %-1,25336 %
Lazard Credit Opportunities "RC EUR"
FR0010230490
Notation Morningstar
Notation Morningstar
Art 828/05/20251245,367 M€680,63000 €,25187 %-,64956 %
Lazard Credit Opportunities "RC H-CHF"
FR001400T0G9
Art 828/05/20251245,367 M€491,47000 CHF--
Lazard Credit Opportunities "RC H-USD"
FR001400BBJ6
Art 828/05/20251245,367 M€558,12000 $,42464 %,03405 %
Lazard Credit Opportunities "RD EUR"
FR001400F1C2
Art 828/05/20251245,367 M€482,53000 €,26806 %-,58240 %
Lazard Credit Opportunities "RD H-USD"
FR001400BBK4
Art 828/05/20251245,367 M€547,19000 $,55497 %,69680 %
Lazard Credit Opportunities "TC EUR"
FR0010235499
Notation Morningstar
Notation Morningstar
Art 828/05/20251245,367 M€14540,68000 €,30456 %-,37703 %
Lazard Euro Corp High Yield "PC EUR"
FR001400H3H5
Art 828/05/2025462,650 M€1182,06000 €,88763 %1,51666 %
Lazard Euro Corp High Yield "PVC EUR"
FR0010505313
Notation Morningstar
Notation Morningstar
Art 828/05/2025462,650 M€2135,36000 €,89777 %1,57595 %
Lazard Euro Corp High Yield "PVC H-CHF"
FR0013444056
Art 8
Lazard Euro Corp High Yield "PVD EUR"
FR0010597138
Notation Morningstar
Notation Morningstar
Art 828/05/2025462,650 M€1066,99000 €,89740 %1,57553 %
Lazard Euro Corp High Yield "RC EUR"
FR0013444072
Notation Morningstar
Notation Morningstar
Art 828/05/2025462,650 M€112,93000 €,83936 %1,21897 %
Lazard Euro Corp High Yield "RC H-CHF"
FR0013444064
Art 828/05/2025462,650 M€107,61000 CHF,66417 %,28891 %
Lazard Euro Corp High Yield "RVC EUR"
FR001400H3I3
Art 828/05/2025462,650 M€119,89000 €,96000 %1,81741 %
Lazard Euro Credit Sri "AIS EUR"
FR001400TCG2
Art 8 / ISR28/05/2025264,319 M€10,34000 €--
Lazard Euro Credit Sri "MC EUR"
FR001400WNJ7
Art 8 / ISR28/05/2025264,319 M€15,28000 €--
Lazard Euro Credit Sri "PC EUR"
FR001400DLP8
Art 8 / ISR28/05/2025264,319 M€1143,79000 €,53706 %1,56640 %
Lazard Euro Credit Sri "PVC EUR"
FR001400FNL8
Art 8 / ISR28/05/2025264,319 M€1147,99000 €,50164 %1,58754 %
Lazard Euro Credit Sri "RC EUR"
FR0010751008
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/2025264,319 M€1506,09000 €,50114 %1,37788 %
Lazard Euro Short Duration High Yield Sri "AGIPI"
FR001400QPO4
Art 8 / ISR28/05/2025323,073 M€104,20000 €--
Lazard Euro Short Duration High Yield Sri "PD EUR"
FR0013507001
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/2025323,073 M€1080,54000 €,76750 %2,06736 %
Lazard Euro Short Duration High Yield Sri "RC EUR"
FR0013506987
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/2025323,073 M€125,10000 €,73275 %1,91446 %
Lazard Euro Short Duration High Yield Sri Pc H-usd
FR001400YCP3
Art 8 / ISR
Lazard Euro Short Duration High Yield SRI"EVC EUR"
FR0013507027
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/2025323,073 M€1266,60000 €,76132 %2,13857 %
Lazard Euro Short Duration High Yield SRI"PVC EUR"
FR0013507019
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/2025323,073 M€1260,57000 €,75613 %2,10765 %
Lazard Euro Short Duration High Yield SRI"RVC EUR"
FR0013506995
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/2025323,073 M€126,83000 €,77870 %2,14222 %
Lazard Euro Short Duration Sri "IC"
FR0000027609
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/2025241,806 M€5009,54000 €,30153 %2,04433 %
Lazard Euro Short Duration Sri "ID"
FR0000029860
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/2025241,806 M€2436,81000 €,30171 %2,04611 %
Lazard Euro Short Duration Sri "MC"
FR001400WNK5
Art 8 / ISR28/05/2025241,806 M€15,29000 €--
Lazard Gestion Flexible Obligataire "M"
FR0012790186
Notation Morningstar
Notation Morningstar
Art 828/05/202540,596 M€1177,66000 €,34765 %1,23790 %
Lazard Gestion Flexible Obligataire "P"
FR0012790160
Notation Morningstar
Notation Morningstar
Art 828/05/202540,596 M€1146,68000 €,32372 %1,11460 %
Lazard Gestion Flexible Obligataire "R"
FR0012790194
Notation Morningstar
Notation Morningstar
Art 828/05/202540,596 M€1051,58000 €,24690 %,70580 %
Lazard Global Bond Opportunities "EC H-EUR"
FR001400OSG9
Art 828/05/202583,846 M€1036,25000 €--
Lazard Global Bond Opportunities "PC H-EUR"
FR001400OSH7
Art 828/05/202583,846 M€1039,99000 €--
Lazard Global Bond Opportunities "PC H-USD"
FR001400OSF1
Art 828/05/202583,846 M€1055,32000 $--
Lazard Global Bond Opportunities "PD H-EUR"
FR001400OSD6
Art 828/05/202583,846 M€1037,18000 €--
Lazard Global Bond Opportunities "PVC H-EUR"
FR001400OSC8
Art 828/05/202583,846 M€1039,99000 €--
Lazard Global Bond Opportunities "RC H-EUR"
FR001400OSE4
Art 828/05/202583,846 M€104,04000 €--
Lazard Global Green Bond Opportunities Ec Eur
FR001400BVQ9
Art 9 / ISR28/05/202581,136 M€1098,08000 €,72096 %1,92606 %
Lazard Global Green Bond Opportunities Pvc Eur
FR001400BVR7
Art 9 / ISR28/05/202581,136 M€1058,95000 €,72096 %1,89756 %
Lazard Global Green Bond Opportunities Rc Eur
FR001400BVT3
Art 9 / ISR28/05/202581,136 M€111,60000 €,74930 %2,06695 %
Lazard Strategies Obligataires
FR0010753616
Art 828/05/202516,458 M€169,86000 €-,76532 %-4,06100 %
Patrimony Fund - Bond Markets "C EUR"
FR0012099505
Notation Morningstar
Notation Morningstar
Art 628/05/20256,547 M€1175,23000 €,56562 %-,15971 %
Synergies Obligations Internationales
FR001400S5C8
Art 828/05/20258,141 M€100,54000 €--

Target funds

Name of the UCIMorningstar overall rating Art SFDR / LabelDateAssets Under Management (all classes)Net Asset ValuePerformance
MTD
Performance
YTD
Lazard Credit 2027 "EC H-EUR"
FR001400CC65
Art 828/05/2025206,769 M€1185,61000 €,30881 %1,73766 %
Lazard Credit 2027 "ED H-EUR"
FR001400CC57
Art 828/05/2025206,769 M€1151,89000 €,30914 %1,73819 %
Lazard Credit 2027 "PAC H-EUR"
FR001400F141
Art 828/05/2025206,769 M€1114,54000 €,29336 %1,65543 %
Lazard Credit 2027 "PC H-EUR"
FR001400CC73
Art 828/05/2025206,769 M€1142,86000 €,29399 %1,65533 %
Lazard Credit 2027 "PD H-EUR"
FR001400CC81
Art 828/05/2025206,769 M€1113,05000 €,29285 %1,65490 %
Lazard Credit 2027 "RC H-EUR"
FR001400CC99
Art 828/05/2025206,769 M€116,07000 €,24182 %1,40660 %
Lazard Credit 2027 "RD H-EUR"
FR001400CCA1
Art 828/05/2025206,769 M€110,00000 €,24606 %1,41053 %
Lazard Credit 2028 "EC EUR"
FR001400KCT4
Art 828/05/2025131,636 M€1088,58000 €,42066 %1,70413 %
Lazard Credit 2028 "ED EUR"
FR001400KCU2
Art 828/05/2025131,636 M€1066,71000 €,42081 %1,71542 %
Lazard Credit 2028 "PC EUR"
FR001400KCV0
Art 828/05/2025131,636 M€1086,21000 €,40951 %1,64319 %
Lazard Credit 2028 "PD EUR"
FR001400KCW8
Art 828/05/2025131,636 M€1065,65000 €,41082 %1,65349 %
Lazard Credit 2028 "PP C EUR"
FR001400QVJ2
Art 828/05/2025131,636 M€1028,50000 €--
Lazard Credit 2028 "RC EUR"
FR001400KCX6
Art 828/05/2025131,636 M€107,70000 €,36343 %1,41243 %
Lazard Credit 2028 "RD EUR"
FR001400KCY4
Art 828/05/2025131,636 M€106,11000 €,36890 %1,38897 %
Lazard Credit 2030 "PC EUR"
FR0013399789
Art 828/05/202577,944 M€1223,58000 €,58696 %1,90386 %
Lazard Credit 2030 "PD EUR"
FR0013399797
Art 828/05/202577,944 M€975,01000 €,58805 %1,90323 %
Lazard Credit 2030 "RC EUR"
FR0013399805
Art 828/05/202577,944 M€119,30000 €,55630 %1,70503 %
Lazard Credit 2030 "RD EUR"
FR0013412525
Art 828/05/202577,944 M€95,88000 €,55585 %1,66176 %
Lazard High Yield 2029 "CC EUR"
FR001400NTT2
Art 828/05/2025102,919 M€108,14000 €1,03709 %1,44465 %
Lazard High Yield 2029 "EC EUR"
FR001400NTN5
Art 828/05/2025102,919 M€1089,72000 €1,08251 %1,68808 %
Lazard High Yield 2029 "ED EUR"
FR001400NTO3
Art 828/05/2025102,919 M€1077,84000 €1,11923 %1,88883 %
Lazard High Yield 2029 "PC EUR"
FR001400NTP0
Art 828/05/2025102,919 M€1087,99000 €1,07016 %1,62527 %
Lazard High Yield 2029 "PD EUR"
FR001400NTQ8
Art 828/05/2025102,919 M€1072,19000 €1,07086 %1,61920 %
Lazard High Yield 2029 "RC EUR"
FR001400NTR6
Art 828/05/2025102,919 M€108,12000 €1,02785 %1,36884 %
Lazard High Yield 2029 "RD EUR"
FR001400NTS4
Art 828/05/2025102,919 M€106,56000 €1,02389 %1,35981 %
Lazard Horizon 2025-2027
FR0010046383
Notation Morningstar
Notation Morningstar
Art 828/05/202537,412 M€179,39000 €,79789 %,02230 %
Lazard Horizon 2028-2030
FR0010046391
Notation Morningstar
Notation Morningstar
Art 828/05/202535,933 M€187,65000 €1,50925 %-,40866 %
Lazard Horizon 2031-2033
FR0010046417
Notation Morningstar
Notation Morningstar
Art 828/05/202532,367 M€199,17000 €2,65437 %-,66830 %
Lazard Horizon 2034-2036
FR0010045658
Notation Morningstar
Notation Morningstar
Art 828/05/202535,980 M€210,78000 €4,16090 %-1,63797 %
Lazard Horizon 2037-2039
FR0010045641
Notation Morningstar
Notation Morningstar
Art 828/05/202525,841 M€230,91000 €4,08384 %-1,58967 %
Lazard Horizon 2040-2042
FR0010045633
Notation Morningstar
Notation Morningstar
Art 828/05/202520,539 M€240,12000 €4,10127 %-1,65062 %
Lazard Horizon 2043-2045
FR0010045625
Notation Morningstar
Notation Morningstar
Art 828/05/202538,514 M€249,07000 €4,08709 %-,98982 %
Lazard Horizon 2046-2050
FR0014002YJ1
Notation Morningstar
Notation Morningstar
Art 828/05/2025,456 M€104,16000 €4,04555 %-,51576 %
Lazard Horizon 2051-2055
FR0014002YK9
Notation Morningstar
Notation Morningstar
Art 828/05/2025,443 M€103,92000 €4,13869 %-,02886 %
Lazard Sustainable Credit 2025 "EC H-EUR"
FR0013464146
Art 828/05/202552,349 M€1155,34000 €,12566 %1,07254 %
Lazard Sustainable Credit 2025 "ED H-EUR"
FR0013464153
Art 828/05/202552,349 M€975,04000 €,12631 %1,07288 %
Lazard Sustainable Credit 2025 "PC H-EUR"
FR0013444908
Art 828/05/202552,349 M€1142,82000 €,11038 %,99062 %
Lazard Sustainable Credit 2025 "PD H-EUR"
FR0013444916
Art 828/05/202552,349 M€973,26000 €,11109 %,99096 %
Lazard Sustainable Credit 2025 "RC H-EUR"
FR0013444924
Art 828/05/202552,349 M€110,52000 €,06338 %,73831 %
Lazard Sustainable Credit 2025 "RD H-EUR"
FR0013444932
Art 828/05/202552,349 M€102,70000 €,05846 %,74554 %

Convertible

Name of the UCIMorningstar overall rating Art SFDR / LabelDateAssets Under Management (all classes)Net Asset ValuePerformance
MTD
Performance
YTD
Lazard Convertible Europe "PC EUR"
FR0010642603
Notation Morningstar
Notation Morningstar
Art 828/05/202542,273 M€19830,65000 €2,12451 %4,11069 %
Lazard Convertible Europe "PC H-EUR"
FR0010642611
Art 828/05/202542,273 M€17433,61000 €2,03913 %5,05662 %
Lazard Convertible Europe "RC EUR"
FR0010637900
Notation Morningstar
Notation Morningstar
Art 828/05/202542,273 M€177,90000 €2,07126 %3,83470 %
Lazard Convertible Europe "RC H-EUR"
FR0010642595
Art 828/05/202542,273 M€157,18000 €1,98547 %4,77968 %
Lazard Convertible Global "A"
FR001400AR29
Art 828/05/20252610,004 M€1082,93000 €2,46868 %2,81209 %
Lazard Convertible Global "PC EUR"
FR0000098683
Notation Morningstar
Notation Morningstar
Art 828/05/20252610,004 M€1796,95000 €2,95938 %-3,74221 %
Lazard Convertible Global "PC H-CHF"
FR0013185543
Notation Morningstar
Notation Morningstar
Art 828/05/20252610,004 M€14408,64000 CHF2,28150 %1,82669 %
Lazard Convertible Global "PC H-EUR"
FR0013185535
Notation Morningstar
Notation Morningstar
Art 828/05/20252610,004 M€1961,71000 €2,45200 %2,72346 %
Lazard Convertible Global "PC H-GBP"
FR0013481504
Notation Morningstar
Notation Morningstar
Art 828/05/20252610,004 M€115,81000 GBP2,61386 %3,33720 %
Lazard Convertible Global "PC H-USD"
FR0013429446
Notation Morningstar
Notation Morningstar
Art 828/05/20252610,004 M€1286,07000 $2,56396 %3,34362 %
Lazard Convertible Global "PC USD"
FR0013185550
Notation Morningstar
Notation Morningstar
Art 828/05/20252610,004 M€1626,85000 $2,36590 %5,06109 %
Lazard Convertible Global "PD EUR"
FR0013277654
Notation Morningstar
Notation Morningstar
Art 828/05/20252610,004 M€13733,71000 €2,95930 %-3,74179 %
Lazard Convertible Global "PD H-EUR"
FR0013277662
Notation Morningstar
Notation Morningstar
Art 828/05/20252610,004 M€12029,09000 €2,45161 %2,72379 %
Lazard Convertible Global "RC EUR"
FR0010858498
Notation Morningstar
Notation Morningstar
Art 828/05/20252610,004 M€487,71000 €2,90760 %-3,99598 %
Lazard Convertible Global "RC H-EUR"
FR0013268356
Notation Morningstar
Notation Morningstar
Art 828/05/20252610,004 M€249,75000 €2,40272 %2,45313 %
Lazard Convertible Global "RC H-HKD"
FR0013429420
Art 828/05/20252610,004 M€2417,91000 HKD2,49029 %2,95813 %
Lazard Convertible Global "RC H-SGD"
FR0013429438
Art 828/05/20252610,004 M€234,03000 SGD2,36637 %2,43358 %
Lazard Convertible Global "RC H-USD"
FR0013429396
Notation Morningstar
Notation Morningstar
Art 828/05/20252610,004 M€248,04000 $2,51705 %3,09227 %
Lazard Convertible Global "RC USD"
FR0013398922
Notation Morningstar
Notation Morningstar
Art 828/05/20252610,004 M€249,24000 $2,31527 %4,77992 %
Lazard Convertible Global "RD EUR"
FR0013398914
Notation Morningstar
Notation Morningstar
Art 828/05/20252610,004 M€235,20000 €2,90965 %-3,99821 %
Lazard Convertible Global "RD H-USD"
FR0013429412
Notation Morningstar
Notation Morningstar
Art 828/05/20252610,004 M€232,78000 $2,51464 %3,08361 %
Lazard Convertible Global "RD USD"
FR0013398930
Notation Morningstar
Notation Morningstar
Art 828/05/20252610,004 M€232,75000 $2,31219 %4,77517 %
Lazard Convertible Global "SA C EUR"
FR001400PUG2
Art 828/05/20252610,004 M€1004,73000 €--
Lazard Convertible Global "SA C H EUR"
FR001400PUH0
Art 828/05/20252610,004 M€1081,28000 €--
Lazard Convertible Global "T H-EUR"
FR0013311438
Notation Morningstar
Notation Morningstar
Art 828/05/20252610,004 M€243,86000 €2,44927 %2,72115 %
Lazard Convertible Global "TC EUR"
FR0013305950
Notation Morningstar
Notation Morningstar
Art 828/05/20252610,004 M€278,92000 €2,95670 %-3,74435 %
Lazard Convertible Global "TC GBP"
FR0013414018
Notation Morningstar
Notation Morningstar
Art 828/05/20252610,004 M€226,06000 GBP1,49964 %-2,32458 %
Lazard Convertible Global "TD GBP"
FR0013414026
Notation Morningstar
Notation Morningstar
Art 828/05/20252610,004 M€205,93000 GBP1,48334 %-2,49412 %
Lazard Convertible Global Rc H-chf
FR0014002P01
Notation Morningstar
Notation Morningstar
Art 828/05/20252610,004 M€161,43000 CHF2,37174 %2,26150 %

Multi-asset

Name of the UCIMorningstar overall rating Art SFDR / LabelDateAssets Under Management (all classes)Net Asset ValuePerformance
MTD
Performance
YTD
36 Laffitte "RC EUR"
FR0013356888
Notation Morningstar
Notation Morningstar
Art 628/05/202517,495 M€117,26000 €,85147 %-1,08815 %
36 Laffitte "RC H-CHF"
FR0013520970
Notation Morningstar
Notation Morningstar
Art 628/05/202517,495 M€100,25000 CHF,67283 %-2,16649 %
36 Laffitte "RC H-USD"
FR0013521028
Notation Morningstar
Notation Morningstar
Art 628/05/202517,495 M€110,78000 $,94769 %-,48509 %
Bca Flex
FR0013179660
Notation Morningstar
Notation Morningstar
Art 628/05/20258,754 M€1245,81000 €,48395 %1,28043 %
Charentes Equicroissance
FR001400VTX7
Art 828/05/2025,350 M€96,59000 €--
Dbl Avenir Patrimoine
FR001400XSA3
Art 828/05/2025,334 M€101,26000 €--
Omega Allocation Flexible "R"
FR0013357704
Notation Morningstar
Notation Morningstar
Art 628/05/202528,199 M€145,44000 €,69233 %10,90438 %
Fo Global Opportunities
FR001400YE67
Art 828/05/2025,337 M€102,26000 €--
Gestion Horizon Equilibre
FR001400R6E3
Art 828/05/2025,491 M€98,78000 €--
Hegoa "PC EUR"
FR0014001KU9
Notation Morningstar
Notation Morningstar
Art 828/05/20255,571 M€115,38000 €2,31445 %-1,52769 %
Hegoa "RC EUR"
FR0014001KV7
Notation Morningstar
Notation Morningstar
Art 828/05/20255,571 M€111,78000 €2,25963 %-1,83543 %
Laz Patrimoine Oppor Prestimoine Equilibre
FR001400YBP5
Art 8 / ISR
Lazard Alpha Allocation "A"
FR0010438168
Art 828/05/202540,398 M€104335,09000 €1,66142 %-,33432 %
Lazard Alpha Allocation "B"
FR0010449538
Art 828/05/202540,398 M€179,65000 €1,60050 %-,63606 %
Lazard Alpha Allocation "PRESTIMOINE DYNAMIQUE"
FR001400YBO8
Art 8
Lazard Patrimoine Croissance "C"
FR0000292302
Notation Morningstar
Notation Morningstar
Art 828/05/2025728,231 M€533,32000 €2,67804 %,32355 %
Lazard Patrimoine Croissance "D"
FR0013295599
Notation Morningstar
Notation Morningstar
Art 828/05/2025728,231 M€229,62000 €2,67853 %,32331 %
Lazard Patrimoine Croissance "M"
FR0014008GH9
Notation Morningstar
Notation Morningstar
Art 828/05/2025728,231 M€17,18000 €2,81269 %,94007 %
Lazard Patrimoine Equilibre
FR0007382965
Notation Morningstar
Notation Morningstar
Art 828/05/2025180,420 M€3336,93000 €2,14894 %1,19361 %
Lazard Patrimoine Moderato "MC EUR"
FR0014008GI7
Notation Morningstar
Notation Morningstar
Art 628/05/20258,392 M€15,42000 €-,38760 %,32531 %
Lazard Patrimoine Moderato "PC EUR"
FR0011261163
Notation Morningstar
Notation Morningstar
Art 628/05/20258,392 M€1212,28000 €-,40502 %,25471 %
Lazard Patrimoine Moderato "PD EUR"
FR0013520806
Notation Morningstar
Notation Morningstar
Art 628/05/20258,392 M€1045,61000 €-,40482 %,25559 %
Lazard Patrimoine Moderato "RC EUR"
FR0013520798
Notation Morningstar
Notation Morningstar
Art 628/05/20258,392 M€1063,90000 €-,42305 %,15816 %
Lazard Patrimoine Opportunities Sri "AIS EUR"
FR001400TCE7
Art 8 / ISR28/05/2025348,512 M€10,07000 €--
Lazard Patrimoine Opportunities Sri "MC EUR"
FR001400WNH1
Art 8 / ISR28/05/2025348,512 M€15,09000 €--
Lazard Patrimoine Opportunities Sri "PC EUR"
FR0013409463
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/2025348,512 M€1427,21000 €1,54392 %-1,02223 %
Lazard Patrimoine Opportunities Sri "PC H-USD"
FR001400F190
Art 8 / ISR28/05/2025348,512 M€1183,38000 $,00000 %7,96672 %
Lazard Patrimoine Opportunities Sri "PD EUR"
FR0012620342
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/2025348,512 M€1296,73000 €1,54423 %-1,02131 %
Lazard Patrimoine Opportunities Sri "RC EUR"
FR0007028543
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/2025348,512 M€99,58000 €1,48797 %-1,31801 %
Lazard Patrimoine Opportunities Sri "RC H-USD"
FR001400F182
Art 8 / ISR28/05/2025348,512 M€118,41000 $-,00844 %7,94968 %
Lazard Patrimoine Opportunities Sri "RD EUR"
FR001400F1A6
Art 8 / ISR28/05/2025348,512 M€105,97000 €1,60115 %-,75875 %
Lazard Patrimoine Sri "MC EUR"
FR0014008GJ5
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/2025627,699 M€15,79000 €,00000 %-,06329 %
Lazard Patrimoine Sri "PC EUR"
FR0012355113
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/2025627,699 M€1340,39000 €-,03282 %-,29679 %
Lazard Patrimoine Sri "PC H-USD"
FR0013477213
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/2025627,699 M€1320,57000 $,10613 %,34040 %
Lazard Patrimoine Sri "PD EUR"
FR0013135472
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/2025627,699 M€1156,83000 €-,03284 %-,29733 %
Lazard Patrimoine Sri "PRESTIMOINE MODERE"
FR001400YBQ3
Art 8 / ISR
Lazard Patrimoine Sri "RC EUR"
FR0012355139
Notation Morningstar
Notation Morningstar
Art 8 / ISR28/05/2025627,699 M€128,03000 €-,08584 %-,54377 %
Lazard Patrimoine Sri "RC H-USD"
FR001400F166
Art 8 / ISR28/05/2025627,699 M€108,02000 $,13906 %,56792 %
Lazard Patrimoine Sri "RD EUR"
FR001400F174
Art 8 / ISR28/05/2025627,699 M€101,52000 €,01970 %-,13777 %
Lazard Patrimoine Usd
FR0011537620
Notation Morningstar
Notation Morningstar
Art 628/05/20251,720 M$1639,59000 $2,61740 %1,04148 %
Opportunites Obligations Monde
FR0013339512
Notation Morningstar
Notation Morningstar
Art 628/05/20256,707 M€1003,51000 €,67618 %1,46714 %
Patrimoine Balanzed Fund "I"
FR0011859156
Notation Morningstar
Notation Morningstar
Art 628/05/20253,744 M€1296,73000 €,11504 %-,30139 %
Patrimoine Balanzed Fund "R"
FR0011859149
Notation Morningstar
Notation Morningstar
Art 628/05/20253,744 M€1357,47000 €,04569 %-,66445 %
Patrimony Fund - Balanced Allocation Flexible
FR0012099497
Notation Morningstar
Notation Morningstar
Art 623/05/20258,870 M€1303,93000 €2,59814 %-1,81102 %
Septem Invest Global Macro
FR0011653815
Notation Morningstar
Notation Morningstar
Art 828/05/202511,168 M€1244,24000 €2,65583 %-1,35648 %
Strategie & Conviction
FR0011347236
Notation Morningstar
Notation Morningstar
Art 828/05/2025219,497 M€147,56000 €1,74447 %-2,29756 %
Synergies All Process
FR0013466455
Notation Morningstar
Notation Morningstar
Art 628/05/202541,633 M€128,46000 €1,46919 %-1,51794 %

Money Market

Name of the UCIMorningstar overall rating Art SFDR / LabelDateAssets Under Management (all classes)Net Asset ValuePerformance
MTD
Performance
YTD
Lazard Euro Money Market "A"
FR0010263244
Art 828/05/20251991,730 M€4549,05000 €,14971 %,99977 %
Lazard Euro Money Market "B"
FR0010941815
Art 828/05/20251991,730 M€1102851,95000 €,16341 %1,07401 %
Lazard Euro Short Term Money Market "A"
FR0007498480
Art 828/05/20251213,387 M€7542,07000 €,16069 %1,05218 %
Lazard Euro Short Term Money Market "B"
FR0010446633
Art 828/05/20251213,387 M€5998591,38000 €,16385 %1,06869 %
Lazard Euro Short Term Money Market "C"
FR0011291657
Art 828/05/20251213,387 M€2141,13000 €,16373 %1,06869 %
Lazard Usd Money Market
FR0000284283
Art 828/05/202591,168 M$1817,33000 $,26427 %1,57335 %

Absolute Return

Name of the UCIMorningstar overall rating Art SFDR / LabelDateAssets Under Management (all classes)Net Asset ValuePerformance
MTD
Performance
YTD
Lazard Gestion Flexible "A"
FR0011310598
Notation Morningstar
Notation Morningstar
Art 828/05/202557,893 M€1500,39000 €1,56367 %,70610 %
Lazard Gestion Flexible "M"
FR0011310606
Art 828/05/202557,893 M€1588,81000 €1,58697 %,82881 %
Lazard Gestion Flexible "R"
FR0011530534
Notation Morningstar
Notation Morningstar
Art 828/05/202557,893 M€1289,79000 €1,49354 %,33919 %

Other

Name of the UCIMorningstar overall rating Art SFDR / LabelDateAssets Under Management (all classes)Net Asset ValuePerformance
MTD
Performance
YTD
Amaltea Global Macro "NVC EUR"
FR001400HCB8
Art 628/05/20255,132 M€1068,76000 €1,65113 %-1,09752 %
Amaltea Global Macro "PVC EUR"
FR001400HCA0
Art 628/05/20255,132 M€1075,05000 €1,67496 %-,97729 %
Amaltea Global Macro "RVC EUR"
FR001400HC94
Art 628/05/20255,132 M€105,65000 €1,60608 %-1,33545 %
Fcpe Ambition-actions Internationales
QS0009133644
Art 828/05/202545,445 M€11,95000 €7,75473 %-6,42130 %

Informations sur les performances.

  • Past performance is not necessarily an indicator of future performance. Performance over a period of less than one year is given for informational purposes only. This performance is given as an indication only and should be assessed at the end of the recommended investment period. Performance is calculated after the deduction of management fees, but does not include taxes or subscription or redemption fees, which are borne by the purchaser. The instruments or securities described in this document are subject to market fluctuations, and no guarantee can be given for their performance or future development.
  • Investors seeking to invest in the fund must first carefully read the prospectus summarising its characteristics, risks and fees. The prospectus, KIID and financial reports are available on the Lazard Frères Gestion website and from our local distributors.
  • The themes presented above are based on Morningstar categories. References to a ranking, price or rating do not guarantee future performance of the UCIs or of its manager. The methodology is available from the fund organisers.
  • Rating Morningstar OverallTM - Morningstar Analyst RatingTM

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Funds

Notice: Please refer to the following link for information on Lazard Frères Gestion’s UCITS funds register in your country : click here. For any specific questions, please contact the Lazard Frères Gestion International distribution team at lfg.international@lazard.com