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Notice to shareholder - 2017

11.12.2017

MITTEILUNG: FONDS COMMUN DE PLACEMENT (FCP) NATIXIS CONVERTIBLES EUROPE nach französischem Rechts

(Anteilsklasse I(C): FR0010171678; Anteilsklasse I (D): FR0011310192; Anteilsklasse R (C): FR0010678359)
Auflegung einer neuen Anteilsklasse N (C)*


* Die Anteilsklasse ist nicht in Deutschland registriert.

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27.11.2017

NATIXIS AM FUNDS

The Board of Directors of the SICAV has decided to bring the following modifications to the Prospectus.

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27.11.2017

MIROVA FUNDS

Die Anteilinhaber von MIROVA Funds sind herzlich eingeladen, an der außerordentlichen Hauptversammlung der Anteilinhaber der Gesellschaft teilzunehmen, die in den Geschäftsräumen von CACEIS Bank, Luxembourg Branch, 5, allée Scheffer, L-2520 Luxemburg, am 17. Januar 2018 um 10.00 Uhr.

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21.11.2017

Natixis AM’s fourth CSR report focuses on carbon compensation

Natixis Asset Management has just published this year’s CSR report. 2016 will be remembered as the year when the full extent of Natixis Asset Management’s corporate social responsibility commitment was recognized, with a range of awards applauding the quality and transparency of our approach. The company won the Bronze award in the “Best CSR Innovation and Overall CSR Approach” category at the fourth French CSR Awards or Nuit de la RSE, and it achieved joint second position in the fifth edition of the 2017 Responsible Investor Awards for the quality of its CSR report last year.

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20.11.2017

MIROVA FUNDS

The board of directors of the SICAV has decided to bring the following modifications to the prospectus of the SICAV.

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12.10.2017

NATIXIS AM FUNDS

Die Anteilinhaber von NATIXIS AM Funds sind herzlich eingeladen, an der Jahreshauptversammlung der Anteilinhaber der SICAV teilzunehmen, die in den Geschäftsräumen von Caceis Bank, Luxembourg Branch, 5 Allée Scheffer, L-2520 Luxemburg, am 27. Oktober 2017 um 10:00 Uhr.

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11.10.2017

Natixis Cash Euribor – Einberufung

Die Aktionäre der Gesellschaft werden am Dienstag, den 31. Oktober 2017 um 9 Uhr zur ordentlichen Hauptversammlung am Gesellschaftssitz einberufen.

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08.09.2017

NOTICE: NATIXIS EURO ABS IG MUTUAL FUND I (C) unit: FR0012100311; SI (C) unit: FR0010186726 R (C) unit: FR0013280716

Creation of a new R (C) unit and reduction of the minimum subscription for the I unit

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01.09.2017

NOTICE TO SHAREHOLDERS

Dear Sir, dear Madam,

We are writing on behalf of the SICAV, which is managed by Natixis Asset Management, a BPCE Group management company. The Board of Directors has decided to bring the following modifications to the Prospectus of the SICAV.

The changes described hereafter will come into force on September 8, 2017 and will be reflected in the SICAV prospectus dated September 2017.

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04.07.2017

NATIXIS SOUVERAINS EURO

Investmentgesellschaft mit variablem Kapital (SICAV) nach französischem Recht
Gesellschaftssitz: 21 quai d'Austerlitz – 75013 PARIS
Anfängliches Grundkapital: 45.735.620 EUR
393 631 593 RCS PARIS

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On 3 April 2018, Natixis Asset Management became Ostrum Asset Management.