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Discover Lyxor's range of funds. Research directly your fund's name, or use the research engine available below.

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Lastest document

Monthly Report
28-01-2021
Lyxor / WNT Fund - Class A EUR
Monthly Report
28-01-2021
Lyxor / Sandler US Equity Fund - Class A EUR
Monthly Report
28-01-2021
LYXOR EPSILON GLOBAL TREND FUND I-EUR
Prospectus
18-02-2021
Soc Gen Protection Permanente
Prospectus
17-12-2020
CRYSTAL EUROPE EQUITY - Class IE
Prospectus
17-12-2020
Lyxor Smart Overnight Return - IU
Annual Report
30-10-2020
CRYSTAL EUROPE EQUITY - Class IE
Annual Report
30-10-2020
Lyxor Smart Overnight Return - IU
Annual Report
30-10-2020
Lyxor Smart Overnight Return - IG
Fund profile
25-02-2021
LYXOR EPSILON GLOBAL TREND FUND I-EUR
Fund profile
25-02-2021
Lyxor / WNT Fund - Class I USD
Access to Documents

Trending funds

MA
LYXOR EPSILON GLOBAL TREND FUND I-CHF
AUM598.1 MCHF NAV111.8 CHF Release dateJul 29, 2015
MA
LYXOR EPSILON GLOBAL TREND FUND I-USD
AUM598.1 MUSD NAV158 USD Release dateJul 15, 2011
MA
LYXOR EPSILON GLOBAL TREND FUND A-USD
AUM430.6 MUSD NAV100 USD Release dateJan 6, 2016
MA
LYXOR EPSILON GLOBAL TREND FUND A-EUR
AUM598.1 MEUR NAV158.2 EUR Release dateJul 31, 2013
MA
LYXOR EPSILON GLOBAL TREND FUND I-EUR
AUM598.1 MEUR NAV144.9 EUR Release dateApr 15, 2011
MA
LYXOR EPSILON GLOBAL TREND FUND I-GBP
AUM598.1 MGBP NAV147.2 GBP Release dateNov 19, 2014
E
Lyxor / Tiedemann Arbitrage Strategy Fund - Class A CHF
AUM1,555.3 MCHF NAV109.4 CHF Release dateAug 6, 2013
E
Lyxor / Tiedemann Arbitrage Strategy Fund - Class I EUR
AUM1,555.3 MEUR NAV116.5 EUR Release dateNov 5, 2013
E
Lyxor / Tiedemann Arbitrage Strategy Fund - Class A USD
AUM1,555.3 MUSD NAV119.3 USD Release dateMar 4, 2014
E
Lyxor / Tiedemann Arbitrage Strategy Fund - Class I USD
AUM1,555.3 MUSD NAV141.1 USD Release dateFeb 21, 2013
E
Lyxor / Tiedemann Arbitrage Strategy Fund - Class A GBP
AUM1,555.3 MGBP NAV117.5 GBP Release dateJan 26, 2016
E
Lyxor / Tiedemann Arbitrage Strategy Fund - Class EB EUR
AUM1,555.3 MEUR NAV127.5 EUR Release dateApr 17, 2013
E
Lyxor / Tiedemann Arbitrage Strategy Fund - Class I GBP
AUM1,555.3 MGBP NAV122 GBP Release dateDec 31, 2013
E
Lyxor / Tiedemann Arbitrage Strategy Fund - Class I CHF
AUM1,555.3 MCHF NAV108.5 CHF Release dateJun 11, 2014
E
Lyxor / Tiedemann Arbitrage Strategy Fund - Class A EUR
AUM1,555.3 MEUR NAV112.5 EUR Release dateAug 6, 2013
E
Lyxor / Sandler US Equity Fund - Class I EUR
AUM1,035 MEUR NAV114.4 EUR Release dateNov 15, 2016
E
Lyxor / Sandler US Equity Fund - Class I USD
AUM1,035 MUSD NAV123 USD Release dateNov 15, 2016
E
Lyxor / Sandler US Equity Fund - Class A EUR
AUM1,035 MEUR NAV111.4 EUR Release dateNov 15, 2016
E
Lyxor / Sandler US Equity Fund - Class EB EUR
AUM1,035 MEUR NAV116.2 EUR Release dateNov 15, 2016
E
Lyxor / Sandler US Equity Fund - Class SI GBP
AUM1,035 MGBP NAV108.4 GBP Release dateJul 31, 2018
E
Lyxor / Sandler US Equity Fund - Class O GBP
AUM1,035 MGBP NAV107.7 GBP Release dateMay 22, 2018
E
Lyxor / Sandler US Equity Fund - Class SI EUR
AUM1,035 MEUR NAV104.6 EUR Release dateJul 10, 2018
E
Lyxor / Sandler US Equity Fund - Class SI USD
AUM1,035 MUSD NAV109.3 USD Release dateJul 10, 2018
F
Lyxor / Chenavari Credit Fund - Class A USD
AUM206.2 MUSD NAV117.4 USD Release dateJun 19, 2015
F
Lyxor / Chenavari Credit Fund - Class I USD
AUM206.2 MUSD NAV122 USD Release dateJun 19, 2015
F
Lyxor / Chenavari Credit Fund - Class I EUR
AUM206.2 MEUR NAV111.3 EUR Release dateJun 19, 2015
F
Lyxor / Chenavari Credit Fund - Class A EUR
AUM206.2 MEUR NAV111.6 EUR Release dateOct 20, 2015
F
Lyxor / Chenavari Credit Fund - Class SI USD
AUM206.2 MUSD NAV124.1 USD Release dateJun 19, 2015
F
Lyxor / Chenavari Credit Fund - Class SIP EUR
AUM206.2 MEUR NAV116.3 EUR Release dateOct 20, 2015
F
Lyxor / Chenavari Credit Fund - Class SI EUR
AUM206.2 MEUR NAV111.8 EUR Release dateJul 25, 2017
E
Lyxor / Tiedemann Arbitrage Strategy Fund - Class I JPY
AUM1,555.3 MJPY NAV11,526.6 JPY Release dateFeb 7, 2017
F
Lyxor Euro 6M - Class EB (EUR)
AUM1,072.9 MEUR NAV1,000.2 EUR Release dateJul 3, 2018
F
Lyxor Euro 6M - Class SI (EUR)
AUM1,072.9 MEUR NAV997.7 EUR Release dateJul 20, 2018
F
Lyxor Euro 6M - Class I (EUR)
AUM1,072.9 MEUR NAV997.6 EUR Release dateJul 20, 2018
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