NAV
€41.6694
as of 19 Dec 2024
Investment Approach
Active
Base Currency
EUR
Dealing Offer
€41.6944
as of 19 Dec 2024
Reported Bid
€41.6611
as of 19 Dec 2024
Dealing Bid
€41.6944
as of 19 Dec 2024
Geography of Investment
Global
Benchmark
FTSE4Good Custom Developed Index Exclusions
Vehicle
Trust
Fund Domicile
Ireland
UCITS
No
SFDR Fund Classification
SFDR - Article 8
ISIN
IE00BFB47P98
Class
Gross