Our fund range

Lazard Frères Gestion offers a wide range of funds for both institutional and private clients. We are involved in all asset classes, with a range of equity, bond and multi-asset funds.

Our fund selection

Lazard Human Capital
Lazard Credit Opportunities
Lazard Alpha Euro
Lazard Equity SRI

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Equities

Name of the UCI Art SFDR / Label Assets Under Management (all classes)Net Asset ValuePerformance
MTD
Performance
YTD
Morningstar overall rating
LAZARD ACTIFS REELS
C - FR0010119917D - FR0000291411
Art 87,349 M€1118,37000 €
06/05/2025
1,30071 %4,75356 %
Notation Morningstar
Notation Morningstar
LAZARD ACTIONS AMERICAINES
PC EUR - FR0007074695PC H-EUR - FR0013254331RC EUR - FR0010700823RC H-EUR - FR0013523487
Art 8750,082 M€450,34000 €
06/05/2025
,82615 %-13,09533 %
Notation Morningstar
Notation Morningstar
LAZARD ACTIONS EMERGENTES
I - FR0010365288R - FR0010380675
Art 8172,564 M€107483,40000 €
06/05/2025
1,65231 %,20057 %
Notation Morningstar
Notation Morningstar
LAZARD ACTIONS EURO
IC - FR0010259945ID - FR0011710557R - FR0010679886
Art 889,127 M€1165,13000 €
06/05/2025
1,71455 %9,92000 %
Notation Morningstar
Notation Morningstar
Lazard Actions Us Concentre "RC EUR"
RC EUR - FR0050000084
Art 692,723 M€1173,66000 €
06/05/2025
-,20916 %-21,47173 %
Notation Morningstar
Notation Morningstar
LAZARD ALPHA EURO
I - FR0010828913IC - FR0011744663PVC G EUR - FR001400F0I1R - FR0010830240T - FR0013305976
Art 8383,014 M€680,39000 €
06/05/2025
1,47653 %7,38479 %
Notation Morningstar
Notation Morningstar
LAZARD DIVIDEND
C - FR0010586024D - FR0010588327RC - FR0013135555RD - FR0012413219
Art 847,153 M€420,16000 €
06/05/2025
1,63522 %9,94060 %
Notation Morningstar
Notation Morningstar
Lazard Epargne Actions
FR0007028550
Art 679,385 M€104,59000 €
06/05/2025
1,40586 %1,22919 %
Notation Morningstar
Notation Morningstar
LAZARD EQUITY SRI
MC EUR - FR001400WNG3PC EUR - FR0000003998PD EUR - FR0010990606RC EUR - FR0013204187RD EUR - FR0013318730UB C EUR - FR001400NKM6UC EUR - FR0013204179
Art 8 / ISR946,179 M€14,76000 €
06/05/2025
--
Notation Morningstar
Notation Morningstar
LAZARD EUROPE CONCENTRATED
A - FR0000294613F - FR001400KC65R - FR0011034131
Art 851,291 M€857,04000 €
06/05/2025
1,55345 %7,40523 %
Notation Morningstar
Notation Morningstar
Lazard France
FR0007027412
Art 820,572 M€136,78000 €
06/05/2025
,37426 %3,92827 %
Notation Morningstar
Notation Morningstar
LAZARD GREEN CAPITAL
EC EUR - FR001400M857PC EUR - FR001400M873PVC EUR - FR001400M865RC EUR - FR001400M881
Art 9 / ISR24,765 M€903,72000 €
06/05/2025
--
Notation Morningstar
Notation Morningstar
LAZARD HUMAN CAPITAL
AIS EUR - FR001400TCH0EC EUR - FR0014009F63ED EUR - FR0014009F71MC EUR - FR001400MM46PC EUR - FR0014009F48RC EUR - FR0014009F89
Art 9 / ISR61,658 M€9,68000 €
06/05/2025
--
Notation Morningstar
Notation Morningstar
LAZARD INNOVATION
E - FR0012044535IC - FR0012044519RC - FR0013341146
Art 8178,040 M€254,40000 €
06/05/2025
2,32483 %-13,50763 %
Notation Morningstar
Notation Morningstar
Lazard Investissement Microcaps
FR0011042811
Art 6218,632 M€254,24000 €
02/05/2025
1,23437 %2,32633 %
Notation Morningstar
Notation Morningstar
LAZARD INVESTISSEMENT PEA-PME
A - FR0011637156AIS EUR - FR001400TCD9M - FR0011637180R - FR0011637164
Art 845,283 M€201,94000 €
06/05/2025
1,28398 %5,72775 %
Notation Morningstar
Notation Morningstar
LAZARD JAPON
AC EUR - FR0000004012AC H-EUR - FR0014008M81RC EUR - FR0010734491
Art 8194,567 M€273,12000 €
02/05/2025
,49305 %-3,21415 %
Notation Morningstar
Notation Morningstar
Lazard Multigestion Actions
FR0010396416
Art 65,393 M€163,20000 €
06/05/2025
1,07141 %6,22234 %
Notation Morningstar
Notation Morningstar
Lazard Patrimoine Actions
FR0013221116
Art 899,395 M€156,27000 €
06/05/2025
1,07367 %6,26275 %
Notation Morningstar
Notation Morningstar
Lazard Patrimoine Pea
FR0011232479
Art 878,211 M€2594,12000 €
06/05/2025
1,16841 %6,00619 %
Notation Morningstar
Notation Morningstar
LAZARD SMALL CAPS EURO
I - FR0000174310R - FR0010689141T - FR0013284536
Art 8721,729 M€966,49000 €
06/05/2025
1,67371 %8,15931 %
Notation Morningstar
Notation Morningstar
LAZARD SMALL CAPS FRANCE
A - FR0010262436R - FR0010679902
Art 8224,003 M€2738,95000 €
06/05/2025
,87285 %-,20477 %
Notation Morningstar
Notation Morningstar
LAZARD WELL-BEING
EC EUR - FR001400GLN6PC EUR - FR001400GLK2PVC EUR - FR001400GLL0RVC EUR - FR001400GLM8
Art 822,039 M€1144,61000 €
06/05/2025
,47401 %-2,31453 %
Notation Morningstar
Notation Morningstar
NORDEN FAMILY
E - FR0013353596IC - FR0013344892TC - FR0013344884
Art 823,705 M€140839,12000 €
06/05/2025
1,09300 %1,23469 %
Notation Morningstar
Notation Morningstar
NORDEN SMALL
IC - FR0011474980TC - FR0013305844
Art 8114,707 M€221,48000 €
06/05/2025
1,65695 %1,96115 %
Notation Morningstar
Notation Morningstar
Norden Sri
- FR0000299356
Art 8 / ISR321,199 M€261,86000 €
06/05/2025
,86280 %1,97438 %
Notation Morningstar
Notation Morningstar

Fixed Income

Name of the UCI Art SFDR / Label Assets Under Management (all classes)Net Asset ValuePerformance
MTD
Performance
YTD
Morningstar overall rating
LAZARD CAPITAL FI SRI
PC EUR - FR0014008DD5PC H-USD - FR0013476041PD H-USD - FR0014008FI9PVC EUR - FR0010952788PVC F EUR - FR00140053H5PVC H-CHF - FR0013236783PVC H-USD - FR0013072733PVD EUR - FR0013043841PVD F EUR - FR00140053I3RC H-CHF - FR001400FC96RD H-USD - FR0014008FK5RVC EUR - FR0013306727RVD EUR - FR0010952796SC EUR - FR0013311446SD EUR - FR0013476058TVD EUR - FR0013305968
Art 8 / ISR1847,600 M€1159,90000 €
06/05/2025
,28619 %1,24030 %
Notation Morningstar
Notation Morningstar
LAZARD CREDIT FI SRI
PC EUR - FR0011844034PC H - CHF - FR0013236791PC H-USD - FR0013076932PD EUR - FR0013306743PD H-USD - FR00140095N4PVC EUR - FR0010590950PVD EUR - FR0012074151RC EUR - FR0014005U50RD H-USD - FR00140095O2RVC EUR - FR0010752543RVD EUR - FR0013306735TC EUR - FR0013305935
Art 8 / ISR2477,843 M€1560,22000 €
06/05/2025
,02500 %1,28142 %
Notation Morningstar
Notation Morningstar
LAZARD CREDIT OPPORTUNITIES
BC EUR - FR001400MM38FC EUR - FR00140081X3MC EUR - FR001400WNI9PC EUR - FR0010235507PC H-CHF - FR001400F1B4PC H-USD - FR001400BBI8PC USD - FR001400BBG2PD EUR - FR0012156347PD H-USD - FR001400D2C2PVC EUR - FR0013432143PVC H-CHF - FR0014002XI5RC EUR - FR0010230490RC H-CHF - FR001400T0G9RC H-USD - FR001400BBJ6RD EUR - FR001400F1C2RD H-USD - FR001400BBK4TC EUR - FR0010235499
Art 81233,025 M€518,81000 €
06/05/2025
-,19430 %-,74991 %
Notation Morningstar
Notation Morningstar
LAZARD EURO CORP HIGH YIELD
PC EUR - FR001400H3H5PVC EUR - FR0010505313PVC H-CHF - FR0013444056PVD EUR - FR0010597138RC EUR - FR0013444072RC H-CHF - FR0013444064RVC EUR - FR001400H3I3
Art 8382,080 M€1172,85000 €
06/05/2025
,10157 %,72570 %
Notation Morningstar
Notation Morningstar
LAZARD EURO CREDIT SRI
AIS EUR - FR001400TCG2MC EUR - FR001400WNJ7PC EUR - FR001400DLP8PVC EUR - FR001400FNL8RC EUR - FR0010751008
Art 8 / ISR261,443 M€10,27000 €
06/05/2025
--
Notation Morningstar
Notation Morningstar
LAZARD EURO SHORT DURATION HIGH YIELD SRI
AGIPI EURO SHORT DURATION HIGH YIELD SRI EUR - FR001400QPO4PD EUR - FR0013507001RC EUR - FR0013506987PC H-USD - FR001400YCP3EVC EUR - FR0013507027PVC EUR - FR0013507019RVC EUR - FR0013506995
Art 8 / ISR318,773 M€103,59000 €
06/05/2025
--
Notation Morningstar
Notation Morningstar
LAZARD EURO SHORT DURATION SRI
IC - FR0000027609ID - FR0000029860MC - FR001400WNK5
Art 8 / ISR236,516 M€4992,77000 €
06/05/2025
-,03424 %1,70273 %
Notation Morningstar
Notation Morningstar
LAZARD GESTION FLEXIBLE OBLIGATAIRE
M - FR0012790186P - FR0012790160R - FR0012790194
Art 842,239 M€1172,74000 €
06/05/2025
-,07158 %,81495 %
Notation Morningstar
Notation Morningstar
LAZARD GLOBAL BOND OPPORTUNITIES
EC H-EUR - FR001400OSG9PC H-EUR - FR001400OSH7PC H-USD - FR001400OSF1PD H-EUR - FR001400OSD6PVC H-EUR - FR001400OSC8RC H-EUR - FR001400OSE4
Art 882,392 M€1029,89000 €
06/05/2025
--
Notation Morningstar
Notation Morningstar
LAZARD GLOBAL GREEN BOND OPPORTUNITIES
EC EUR - FR001400BVQ9PVC EUR - FR001400BVR7RC EUR - FR001400BVT3
Art 9 / ISR80,619 M€1089,16000 €
06/05/2025
-,09723 %1,09809 %
Notation Morningstar
Notation Morningstar
Lazard Strategies Obligataires
FR0010753616
Art 816,637 M€170,31000 €
06/05/2025
-,50242 %-3,80683 %
Notation Morningstar
Notation Morningstar
Patrimony Fund - Bond Markets "C EUR"
C EUR - FR0012099505
Art 67,308 M€1168,62000 €
30/04/2025
,00000 %-,72126 %
Notation Morningstar
Notation Morningstar
Synergies Obligations Internationales
FR001400S5C8
Art 87,151 M€99,88000 €
06/05/2025
--
Notation Morningstar
Notation Morningstar

Target funds

Name of the UCI Art SFDR / Label Assets Under Management (all classes)Net Asset ValuePerformance
MTD
Performance
YTD
Morningstar overall rating
LAZARD CREDIT 2027
EC H-EUR - FR001400CC65ED H-EUR - FR001400CC57PAC H-EUR - FR001400F141PC H-EUR - FR001400CC73PD H-EUR - FR001400CC81RC H-EUR - FR001400CC99RD H-EUR - FR001400CCA1
Art 8206,698 M€1181,68000 €
06/05/2025
-,02369 %1,40043 %
Notation Morningstar
Notation Morningstar
LAZARD CREDIT 2028
EC EUR - FR001400KCT4ED EUR - FR001400KCU2PC EUR - FR001400KCV0PD EUR - FR001400KCW8PP C EUR - FR001400QVJ2RC EUR - FR001400KCX6RD EUR - FR001400KCY4
Art 8131,623 M€1078,58000 €
06/05/2025
-,50184 %,76985 %
Notation Morningstar
Notation Morningstar
LAZARD CREDIT 2030
PC EUR - FR0013399789PD EUR - FR0013399797RC EUR - FR0013399805RD EUR - FR0013412525
Art 874,686 M€1215,60000 €
06/05/2025
-,06905 %1,23926 %
Notation Morningstar
Notation Morningstar
LAZARD HIGH YIELD 2029
CC EUR - FR001400NTT2EC EUR - FR001400NTN5ED EUR - FR001400NTO3PC EUR - FR001400NTP0PD EUR - FR001400NTQ8RC EUR - FR001400NTR6RD EUR - FR001400NTS4
Art 896,746 M€107,24000 €
06/05/2025
,19621 %,60038 %
Notation Morningstar
Notation Morningstar
Lazard Horizon 2025-2027
FR0010046383
Art 837,727 M€178,20000 €
06/05/2025
,12924 %-,64120 %
Notation Morningstar
Notation Morningstar
Lazard Horizon 2028-2030
FR0010046391
Art 835,281 M€185,36000 €
06/05/2025
,27047 %-1,62403 %
Notation Morningstar
Notation Morningstar
Lazard Horizon 2031-2033
FR0010046417
Art 831,753 M€195,14000 €
06/05/2025
,57726 %-2,67817 %
Notation Morningstar
Notation Morningstar
Lazard Horizon 2034-2036
FR0010045658
Art 834,679 M€204,38000 €
06/05/2025
,99822 %-4,62457 %
Notation Morningstar
Notation Morningstar
Lazard Horizon 2037-2039
- FR0010045641
Art 825,091 M€223,97000 €
06/05/2025
,95560 %-4,54739 %
Notation Morningstar
Notation Morningstar
Lazard Horizon 2040-2042
FR0010045633
Art 819,749 M€232,84000 €
06/05/2025
,94511 %-4,63240 %
Notation Morningstar
Notation Morningstar
Lazard Horizon 2043-2045
FR0010045625
Art 836,849 M€241,55000 €
06/05/2025
,94446 %-3,97917 %
Notation Morningstar
Notation Morningstar
Lazard Horizon 2046-2050
FR0014002YJ1
Art 8,442 M€101,09000 €
06/05/2025
,97892 %-3,44795 %
Notation Morningstar
Notation Morningstar
Lazard Horizon 2051-2055
FR0014002YK9
Art 8,431 M€100,82000 €
06/05/2025
1,03217 %-3,01106 %
Notation Morningstar
Notation Morningstar
LAZARD SUSTAINABLE CREDIT 2025
EC H-EUR - FR0013464146ED H-EUR - FR0013464153PC H-EUR - FR0013444908PD H-EUR - FR0013444916RC H-EUR - FR0013444924RD H-EUR - FR0013444932
Art 852,746 M€1154,23000 €
06/05/2025
,02947 %,97543 %
Notation Morningstar
Notation Morningstar

Convertible

Name of the UCI Art SFDR / Label Assets Under Management (all classes)Net Asset ValuePerformance
MTD
Performance
YTD
Morningstar overall rating
LAZARD CONVERTIBLE EUROPE
PC EUR - FR0010642603PC H-EUR - FR0010642611RC EUR - FR0010637900RC H-EUR - FR0010642595
Art 845,008 M€19556,18000 €
06/05/2025
,71104 %2,66972 %
Notation Morningstar
Notation Morningstar
LAZARD CONVERTIBLE GLOBAL
A - FR001400AR29PC EUR - FR0000098683PC H-CHF - FR0013185543PC H-EUR - FR0013185535PC H-GBP - FR0013481504PC H-USD - FR0013429446PC USD - FR0013185550PD EUR - FR0013277654PD H-EUR - FR0013277662RC EUR - FR0010858498RC H-EUR - FR0013268356RC H-HKD - FR0013429420RC H-SGD - FR0013429438RC H-USD - FR0013429396RC USD - FR0013398922RD EUR - FR0013398914RD H-USD - FR0013429412RD USD - FR0013398930SA C EUR - FR001400PUG2SA C H EUR - FR001400PUH0T H-EUR - FR0013311438TC EUR - FR0013305950TC GBP - FR0013414018TD GBP - FR0013414026RC H-CHF - FR0014002P01
Art 82612,309 M€1067,71000 €
06/05/2025
1,02854 %1,36712 %
Notation Morningstar
Notation Morningstar

Multi-asset

Name of the UCI Art SFDR / Label Assets Under Management (all classes)Net Asset ValuePerformance
MTD
Performance
YTD
Morningstar overall rating
36 LAFFITTE
RC EUR - FR0013356888RC H-CHF - FR0013520970RC H-USD - FR0013521028
Art 617,391 M€116,14000 €
06/05/2025
-,11181 %-2,03290 %
Notation Morningstar
Notation Morningstar
Bca Flex
FR0013179660
Art 68,732 M€1239,50000 €
06/05/2025
-,02500 %,76744 %
Notation Morningstar
Notation Morningstar
Charentes Equicroissance
FR001400VTX7
Art 8,344 M€94,93000 €
06/05/2025
--
Notation Morningstar
Notation Morningstar
Dbl Avenir Patrimoine
FR001400XSA3
Art 8,328 M€99,40000 €
06/05/2025
--
Notation Morningstar
Notation Morningstar
Omega Allocation Flexible "R"
R - FR0013357704
Art 627,474 M€145,62000 €
06/05/2025
,81695 %11,04163 %
Notation Morningstar
Notation Morningstar
Fo Global Opportunities
FR001400YE67
Art 8,332 M€100,46000 €
06/05/2025
--
Notation Morningstar
Notation Morningstar
Gestion Horizon Equilibre
FR001400R6E3
Art 8,483 M€97,10000 €
06/05/2025
--
Notation Morningstar
Notation Morningstar
HEGOA
PC EUR - FR0014001KU9RC EUR - FR0014001KV7
Art 85,435 M€113,11000 €
06/05/2025
,30150 %-3,46505 %
Notation Morningstar
Notation Morningstar
LAZARD PATRIMOINE OPPORTUNITIES SRI
Prestimoine Equilibre - FR001400YBP5AIS EUR - FR001400TCE7MC EUR - FR001400WNH1PC EUR - FR0013409463PC H-USD - FR001400F190PD EUR - FR0012620342RC EUR - FR0007028543RC H-USD - FR001400F182RD EUR - FR001400F1A6
Art 8 / ISR
Notation Morningstar
Notation Morningstar
LAZARD ALPHA ALLOCATION
A - FR0010438168B - FR0010449538Prestimoine Dynamique - FR001400YBO8
Art 839,770 M€102980,84000 €
06/05/2025
,34187 %-1,62796 %
Notation Morningstar
Notation Morningstar
LAZARD PATRIMOINE CROISSANCE
C - FR0000292302D - FR0013295599M - FR0014008GH9
Art 8713,808 M€523,86000 €
06/05/2025
,85674 %-1,45598 %
Notation Morningstar
Notation Morningstar
Lazard Patrimoine Equilibre
FR0007382965
Art 8182,003 M€3285,21000 €
06/05/2025
,56570 %-,37482 %
Notation Morningstar
Notation Morningstar
LAZARD PATRIMOINE MODERATO
MC EUR - FR0014008GI7PC EUR - FR0011261163PD EUR - FR0013520806RC EUR - FR0013520798
Art 68,341 M€15,42000 €
06/05/2025
-,38760 %,32531 %
Notation Morningstar
Notation Morningstar
LAZARD PATRIMOINE SRI
MC EUR - FR0014008GJ5PC EUR - FR0012355113PC H-USD - FR0013477213PD EUR - FR0013135472Prestimoine Modéré - FR001400YBQ3RC EUR - FR0012355139RC H-USD - FR001400F166RD EUR - FR001400F174
Art 8 / ISR632,570 M€15,74000 €
06/05/2025
-,31666 %-,37975 %
Notation Morningstar
Notation Morningstar
Lazard Patrimoine Usd
FR0011537620
Art 61,680 M$1600,96000 $
06/05/2025
,19965 %-1,33913 %
Notation Morningstar
Notation Morningstar
Opportunites Obligations Monde
FR0013339512
Art 66,617 M€996,87000 €
06/05/2025
,01003 %,79575 %
Notation Morningstar
Notation Morningstar
PATRIMOINE BALANZED FUND
I - FR0011859156R - FR0011859149
Art 63,785 M€1292,31000 €
06/05/2025
-,22621 %-,64122 %
Notation Morningstar
Notation Morningstar
Patrimony Fund - Balanced Allocation Flexible
C EUR - FR0012099497
Art 69,045 M€1280,69000 €
02/05/2025
,76953 %-3,56105 %
Notation Morningstar
Notation Morningstar
Septem Invest Global Macro
FR0011653815
Art 811,053 M€1216,86000 €
06/05/2025
,39685 %-3,52717 %
Notation Morningstar
Notation Morningstar
Strategie & Conviction
- FR0011347236
Art 8216,370 M€145,29000 €
06/05/2025
,17927 %-3,80057 %
Notation Morningstar
Notation Morningstar
Synergies All Process
- FR0013466455
Art 640,373 M€126,84000 €
06/05/2025
,18957 %-2,75989 %
Notation Morningstar
Notation Morningstar

Money Market

Name of the UCI Art SFDR / Label Assets Under Management (all classes)Net Asset ValuePerformance
MTD
Performance
YTD
Morningstar overall rating
LAZARD EURO MONEY MARKET
A - FR0010263244B - FR0010941815
Art 82141,872 M€4543,33000 €
06/05/2025
,02378 %,87278 %
Notation Morningstar
Notation Morningstar
LAZARD EURO SHORT TERM MONEY MARKET
A - FR0007498480B - FR0010446633C - FR0011291657
Art 81222,504 M€7531,82000 €
06/05/2025
,02457 %,91485 %
Notation Morningstar
Notation Morningstar
Lazard Usd Money Market
FR0000284283
Art 8101,586 M$1813,35000 $
06/05/2025
,04469 %1,35090 %
Notation Morningstar
Notation Morningstar

Absolute Return

Name of the UCI Art SFDR / Label Assets Under Management (all classes)Net Asset ValuePerformance
MTD
Performance
YTD
Morningstar overall rating
LAZARD GESTION FLEXIBLE
A - FR0011310598M - FR0011310606R - FR0011530534
Art 857,366 M€1477,35000 €
06/05/2025
,00406 %-,84034 %
Notation Morningstar
Notation Morningstar

Other

Name of the UCI Art SFDR / Label Assets Under Management (all classes)Net Asset ValuePerformance
MTD
Performance
YTD
Morningstar overall rating
AMALTEA GLOBAL MACRO
NVC EUR - FR001400HCB8PVC EUR - FR001400HCA0RVC EUR - FR001400HC94
Art 65,917 M€1054,16000 €
06/05/2025
,26251 %-2,44859 %
Notation Morningstar
Notation Morningstar
Fcpe Ambition-actions Internationales
QS0009133644
Art 843,470 M€11,31000 €
06/05/2025
1,98377 %-11,43305 %
Notation Morningstar
Notation Morningstar

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

Paris

25, rue de Courcelles
75 008 Paris
+33 (0)1 44 13 04 61

Bordeaux

8, rue du Château Trompette
33 000 Bordeaux
+33 (0)5 56 44 30 00

Lyon

29 place Bellecour
69 002 Lyon
+33 (0)4 72 69 95 80

Nantes

4, rue Racine
44 000 Nantes
+33 (0)2 28 08 28 78

Brussels

Blue Tower
Avenue Louise, 326
1050 Bruxelles
+32 (0)2 627 08 80

Luxembourg

39, Boulevard Royal,
L-2449 Luxembourg
+352 273 00 810

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You can set your consent, preferences and view the details of our cookie policy at any time on our site.

The collection of cookies that are not strictly necessary for the operation of the site requires your prior consent.

Consult our cookie policy

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Cookie policy

Lazard uses cookies for the purposes of the proper functioning of the site, security, audience... Lire plus

Lazard uses cookies for the purposes of the proper functioning of the site, security, audience measurement, analysis and to improve your experience. You are free at any time to withdraw your consent to the installation of cookies that are not strictly necessary. You may give or withhold your general consent or configure your preferences according to the purpose of the cookies.

Definition of a cookie

A cookie is a file stored by a server on a user’s terminal (computer, smartphone, etc.) and associated with a web domain (i.e. in most cases with all pages of a single website). That file is automatically retrieved on subsequent contact with the same domain.

Cookies have multiple uses: in general, they can be used to memorize your customer ID on a merchant site, the current content of your shopping basket, the web page display language, or they can be used as an identifier to track your browsing for statistical or advertising purposes, etc.

The information stored by cookies on your browsing terminal, for a limited validity period, may relate to: the web pages you have visited on your computer, ads you have clicked on, the type of browser you use, your IP address or the information you have provided to a Site and/or an Application.

The cookies used on the Site and/or in an Application have a maximum lifespan of 13 months.

Types of cookies used

Functional or customization cookies:

Functional cookies are necessary for the proper functioning of the website. They allow information to be recorded between two visits using the same device and enable some aspects of the interface to be customized. For example, user interface customization cookies allow you to choose the language of a service or how it is presented.

Cookie Name Description Retention period
ASP.NET_SessionId Stores customer connection preferences for functional purposes. It is used to identify user sessions on the server. Browser session
CountrySite Cookie providing information about the user’s country of residence, exclusively within the site, and created on validation of the disclaimer 1 month
ProfileName Cookie providing information about the user’s profile, exclusively within the site, and created on validation of the disclaimer 1 month
Nom du Cookie ASP.NET_SessionId
Description Stores customer connection preferences for functional purposes. It is used to identify user sessions on the server.
Retention period Browser session
Nom du Cookie PublicCible
Description Cookie providing information about the user’s profile, exclusively within the site, and created on validation of the disclaimer
Retention period 1 month
Analytical or statistical cookies:

Statistical cookies are used to track your actions on our website. Audience measurement tools are used to obtain information about how you browse our site. In particular, they provide information about how you have reached our website and allow a reconstruction of your journey. We must request your consent whenever these cookies collect statistics that are not anonymous.

Cookie Name Description Retention period
CookieConsent Cookies allowing memorization of the acceptance or rejection of cookies 6 months
Audience measurement cookie (google analytics) This cookie is used to calculate a website’s audience 13 months
Utma Visitor identification tracking cookie. 13 months
Utmb Session cookie used to manage data about a user’s current visit. 30 mins
Utmc Cookie used to identify the end of the user’s session. At the end of a session
Utmz Cookie identifying the visitor’s entry point to the site, the type of terminal used, the campaign if configured (tracker or AdWords tag) and the search query. 6 months
Cookie Name CookieConsent
Description Cookies allowing memorization of the acceptance or rejection of cookies
Retention period 6 months
Cookie Name Audience measurement cookie (google analytics)
Description This cookie is used to calculate a website’s audience
Retention period 13 months
Cookie Name Utma
Description Visitor identification tracking cookie.
Retention period 13 months
Cookie Name Utmb
Description Session cookie used to manage data about a user’s current visit.
Retention period 30 mins
Cookie Name Utmc
Description Cookie used to identify the end of the user’s session.
Retention period At the end of a session
Cookie Name Utmz
Description Cookie identifying the visitor’s entry point to the site, the type of terminal used, the campaign if configured (tracker or AdWords tag) and the search query.
Retention period 6 months
Advertising cookies:

These cookies help us to show you relevant ads on social media, to measure the performance of those advertisements and to generate associated reports based on the content you view on our website. These cookies require your consent.

Lazard does not use advertising cookies

Your cookie preferences

If you do not want Lazard to place cookies on your device, you can:

  • Adjust your browser settings. You can also configure your browser to reject all cookies or cookies placed by third parties. Finally, you can delete cookies that have already been placed. Don’t forget that you need to configure the settings for each different browser and device you use
  • Follow the “Configure your cookies” link at the bottom of the page to configure Lazard cookies
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Strictly necessary cookies: These technical and obligatory cookies allow you to move around our website... Lire plus

Strictly necessary cookies :

These technical and mandatory cookies allow you to move around our site and use its features such as access to secure areas.

User experience cookies :

These cookies allow the website to remember the user's choices such as their investor profile, working language or geographical area where they are located and offer advanced features plus.

Cookies for audience measurement (statistics) :

These cookies allow us to develop statistics (Google Analytics) and to improve your browsing experience.

Social network sharing cookies :

Our site may use cookies to allow you to share our content on social networks such as Linkedin, Twitter and Youtube.

Cookies for advertising purposes :

Our site and our partners may use cookies to display personalized advertising based on your browsing experience, the editorial content you view and your profile.

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