Raiffeisen-Nachhaltigkeit-ÖsterreichPlus-Aktien (I)

Performance *

From 06/01/2011 Up to 01/21/2022

Source: Depository Bank (Raiffeisen Bank International AG)

* Performance (incl. disbursements)

02/2021: Addition of sustainability focus (change in the performance circumstances)

Performance in per cent (yoy)

    1 year 3 years 5 years 10 years since inception
(06/01/2011)
Fund20.01.202217,447,888,649,315,25

Raiffeisen KAG calculates performance based on the published fund price, using the OeKB methodology. Individual costs – such as transaction fees, the subscription fee (maximum 0 %), the redemption fee (maximum 0 %) or custody charges of the investor – and taxes are not included in the performance calculation. These would reduce the performance if they were included. Past value is not a reliable indicator of the fund’s future performance.

Notice for investors with a different functional currency than the fund currency: We expressly point out that returns may rise or fall due to currency fluctuations.

The fund is actively managed without reference to a benchmark.