PREM OPCIMMO
Fund Details
Type of unit:
Part D
FR0011063353 (D)
-
Benchmark:
Non benchmarké
Asset Class:
Immobilier
Geographical zone:
OCDE
Minimum recommended investment period:
8 ans
Management Company:
Amundi Immobilier
Custodian institution:
CACEIS Bank
SFDR Classification
:
Art. 8
Inception date:
11/07/2011
Currency:
EUR
Other currencies:
-
Data date:
15/01/2026
Fund AUM (in M):
3 194,79
NAV (D):
91,24
NAV :
-
PEA eligibility:
No
PEB eligibility:
No
PEA-PME eligibility:
-
Risk Indicator
Higher Risk
Lower risk
Potentially higher returns
Potentially lower returns
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Les informations affichées sur le site internet peuvent être légérement anticipées par rapport à la dernière version du KID (DIC) disponible.
Main documents
KID PRIIPs (FR)
Monthly Factsheet (FR)
SRI Transparency Code (FR)
Performance
NAVs
Comments & Portfolio Analysis
Characteristics
Documents
Sustainability-related disclosures