Raiffeisen-Nachhaltigkeit-ÖsterreichPlus-Aktien (I)

Funds Information  12/07/2021

Fund currency EUR
Pay-out date 01.12.
Financial year From 01.10. Up to 30.09.
Management fee 0.75 %
Initial publication date 04/01/2021
Investor’s risk tolerance

lower

higher

SRRI


Holding period in years

min. 10 years


Prices From 12/07/2021

 Distributing trancheAccumulating tranche
ISINAT0000A2QAA2AT0000A2QAB0
NAV112,95113,78
Issue price112,95113,78
Redemption price112,95113,78

The management company notes that the sales office can charge fees for the purchase and/or redemption of unit certificates.

Tax treatment depends on the investor’s personal situation and may be subject to future changes.

The published prospectuses, information for investors pursuant to § 21 AIFMG, and customer information documents (Key Investor Information Documents) for the investment funds of Raiffeisen Kapitalanlage-Gesellschaft m.b.H. are available in German at www.rcm.at under the heading "Kurse & Dokumente" (and for some funds the customer information documents are additionally available in English) or, if the fund shares are sold abroad, in English (if applicable in German) or in your national language at www.rcm-international.com under the heading „Prices & Documents“. A summary of investors rights is available in German and English under the following link: https://www.rcm.at/corporategovernance. Note that Raiffeisen Kapitalanlage-Gesellschaft m.b.H. may decide to terminate the arrangements for the distribution of the fund unit certificates outside the fund domicile country Austria.

The fund exhibits elevated volatility, meaning that unit prices can move significantly higher or lower in short periods of time, and it is not possible to rule out loss of capital.