window.translations = { "Actions": "Equities", "Actions Europe": "European equities", "Actions Marchés Emergents": "Emerging markets equities", "All funds": "All funds", "Caractéristiques générales": "GENERAL CHARACTERISTICS", "Commission de surperformance": "performance fees", "common.labels.close": "Close", "common.labels.custom.panel.title": "Select below information you want to add in the table of results.", "common.labels.filters": "Filters", "common.labels.help": "Help", "common.labels.loading": "Loading", "common.labels.nb_result_per_page": "Results per page", "common.labels.total": "Total", "Cotation": "LISTING", "Distributions": "Last Distribution", "DistributionsMF": "Last Distribution", "Documentation": "Documentation", "ETF – Investissement Responsable": "Responsible Investing", "Frais": "fees", "Indicateur de référence": "Reference indicator", "information": "INFORMATION", "Informations": "Information", "Informations Générales": "Key information", "Investissement Responsable": "Responsible investing", "meta_colonne_daily_assets": "Daily Liquid Assets", "meta_colonne_weekly_assets": "Weekly Liquid Assets", "npe.doctype.fundnoticecreditrisk": "Fund Notice Creditrisk", "npe.doctype.fundnoticestocks": "Fund Notice Stocks", "npe.doctype.fundoverview": "Fund overview", "npe.doctype.fundteaser": "Featured Fund Insight", "npe.doctype.quarterlyfactsheet": "Quarterly Factsheet", "npe.doctype.quarterlyinvestmentprofile": "Quarterly investment profile", "npe.doctype.sai": "SAI", "npe.doctype.salesretailbrochure": "Fund Insight", "npe.doctype.sectorallocationchart": "Sector Allocation Chart", "npe.doctype.simpleprospectus": "Summary Prospectus", "Performance": "Quarterly Performances", "Performance annualisée *": "Annualized performance *", "Performance glissante": "Sliding performance", "Performances": "Quarterly Performances", "Smart Beta": "Smart Beta", "Taux": "Fixed Income", "tip.comparator.labels.compare": "Validate", "tip.comparator.labels.is_empty": "No fund selected", "tip.comparator.labels.title": "Compare", "tip.field.affect_result": "Type of shares", "tip.field.asset_class": "Asset class", "tip.field.asset_class_level_2": "Fund Type", "tip.field.autre_devise_sr": "Other purchase – redemption currency", "tip.field.bench_performance_3_months": "3 months", "tip.field.bench_performance_ytd_annualized": "YTD", "tip.field.benchmark_link": "Benchmark", "tip.field.bloomberg_ticker": "Bloomberg Ticker", "tip.field.calculation_period": "Calculation period", "tip.field.capital_gain_date": "Capital Gain date", "tip.field.class_type": "Share class", "tip.field.class_type_mutual": "Fund Name and Share Class", "tip.field.commission_arbitrage": "Max switch fees", "tip.field.commission_distrib_fdm": "Max distribution fees", "tip.field.comparment_net_assets": "AUM", "tip.field.compartment_label": "Fund name", "tip.field.coupon_date": "Periodic\r\nDividend\/\r\nDistribution Payable Date", "tip.field.coupon_link": "Historical Distributions", "tip.field.currency": "Currency", "tip.field.currency_hedge": "Currency hedging", "tip.field.current_fees": "Current fees", "tip.field.daily_liquid_assets": "Daily Liquid Assets", "tip.field.daily_nav": "Daily Market NAV", "tip.field.daily_nav_link": "Prior six months", "tip.field.date_creation_classe": "Inception date", "tip.field.date_creation_comp": "Inception date", "tip.field.date_dividend_distribution_payment": "Periodic\r\nDividend\/\r\nDistribution Payable Date", "tip.field.date_dividend_distribution_record": "Periodic\r\nDividend\/\r\nDistribution Record Date", "tip.field.date_ex_coupon": "Ex date", "tip.field.date_inventaire": "Holdings As of Date", "tip.field.date_performance_monthly": "Performance As Of", "tip.field.date_performance_quarterly": "Performance As Of", "tip.field.dividend_factor": "Periodic\r\nDividend\/Distribution", "tip.field.document_type_annual_report": "Annual Report", "tip.field.document_type_final_terms": "Final terms", "tip.field.document_type_fund_alert": "Fund alert", "tip.field.document_type_fund_factsheet": "Fundfactsheet", "tip.field.document_type_fund_overview": "Fund Overview", "tip.field.document_type_fund_profile": "Marketing factsheet", "tip.field.document_type_fund_teaser": "Featured Fund Insight", "tip.field.document_type_fundoverview": "Fund Overview", "tip.field.document_type_funds_commentary": "Fund Commentary", "tip.field.document_type_information_statement": "Information Statement", "tip.field.document_type_kfs": "KFS", "tip.field.document_type_kiid": "KIID", "tip.field.document_type_monthly_factsheet": "Monthly factsheet", "tip.field.document_type_new_kiid": "DICI", "tip.field.document_type_periodic_report": "Semiannual report", "tip.field.document_type_portfolio_event_update": "Portfolio Event Update", "tip.field.document_type_primer": "Insights for Advisors", "tip.field.document_type_prospectus": "Prospectus", "tip.field.document_type_q_1_holdings": "Q1Holdings", "tip.field.document_type_q_1_q_3_holdings": "Q1\/Q3 Holdings", "tip.field.document_type_q_3_holdings": "Q3Holdings", "tip.field.document_type_qualitative_sheet": "Qualitative sheet", "tip.field.document_type_quarterly_factsheet": "Quarterly Fact Sheet", "tip.field.document_type_quaterly_factsheet": "Quarterly Fact Sheet\n", "tip.field.document_type_regulation": "Rules and statutes", "tip.field.document_type_sai": "SAI", "tip.field.document_type_sales_retail_brochure": "Fund Brochure", "tip.field.document_type_simple_prospectus": "Summary Prospectus", "tip.field.document_type_subfund_weekly_factsheet": "Weekly factsheet", "tip.field.document_type_weekly_reporting": "Weekly Fact Sheet", "tip.field.duration_hedge": "Duration hedging", "tip.field.exit_fees": "Max direct redemption fees", "tip.field.first_nav_date": "Inception date", "tip.field.frais_administratifs": "Max direct administration fees", "tip.field.frais_fct_gest_ind_max": "Max indirect fees", "tip.field.fund_documents_link": "All Literature", "tip.field.fund_label_translated": "Fund", "tip.field.geographical_area": "Regions", "tip.field.gestion_financiere_f_d_m": "Max direct management fees", "tip.field.gross_expense_ratio": "Gross Expense Ratio", "tip.field.growth_expense_ratio": "Gross Expense Ratio", "tip.field.guaranteed_net_asset_value": "Guaranteed Value", "tip.field.immediate_net_asset_value": "Indicative NAV (iNAV)", "tip.field.inventory_link": "Holdings", "tip.field.investment_nature": "Investors", "tip.field.investment_policy": "Investment policy", "tip.field.investment_term": "Minimum recommended investment period", "tip.field.isin": "ISIN", "tip.field.issue_date": "Issue Date", "tip.field.long_term_cap_gains": "Long-Term Cap Gains", "tip.field.market_closing_price": "Market Closing Price", "tip.field.market_distribution_rate": "Market Dist Rate", "tip.field.market_price_change": "Market Price Change", "tip.field.maturity_date": "Maturity Date", "tip.field.minimum_invest_initial": "Minimum initial investment", "tip.field.monthly_gross_expense_ratio_value": "Gross Expense Ratio", "tip.field.morning_star_date": "Morning star notation date", "tip.field.morningstar_rating": "Morning star rate", "tip.field.name.issue": "Issue Name", "tip.field.nasdaq_symbol": "Ticker", "tip.field.net_asset_value": "NAV", "tip.field.net_asset_value_change": "Nav Change", "tip.field.net_asset_value_date": "NAV date", "tip.field.net_asset_value_decimal": "NAV decimals", "tip.field.net_assets": "AUM", "tip.field.net_assets_date": "Net asset value date", "tip.field.net_flows": "Net Flows (000s)", "tip.field.net_flows_link": "Prior six months", "tip.field.outperformance": "Outperformance", "tip.field.perf_ann_monthly_1_0y_itd": "10 Years \/ Life", "tip.field.perf_ann_monthly_1_0y_itd_e_o_p": "10 Years \/ Life", "tip.field.perf_ann_monthly_1y": "1 Year", "tip.field.perf_ann_monthly_1y_e_o_p": "1 Year", "tip.field.perf_ann_monthly_3y": "3 Years", "tip.field.perf_ann_monthly_3y_e_o_p": "3 Years", "tip.field.perf_ann_monthly_5y": "5 Years", "tip.field.perf_ann_monthly_5y_e_o_p": "5 Years", "tip.field.perf_ann_monthly_y_t_d": "YTD", "tip.field.perf_ann_quarterly_1_0y_itd": "10 Years \/ Life", "tip.field.perf_ann_quarterly_1_0y_itd_e_o_p": "10 Years \/ Life", "tip.field.perf_ann_quarterly_1y": "1 Year", "tip.field.perf_ann_quarterly_1y_e_o_p": "1 Year", "tip.field.perf_ann_quarterly_3y": "3 Years", "tip.field.perf_ann_quarterly_3y_e_o_p": "3 Years", "tip.field.perf_ann_quarterly_5y": "5 Years", "tip.field.perf_ann_quarterly_5y_e_o_p": "5 Years", "tip.field.perf_ann_quarterly_y_t_d": "YTD", "tip.field.perf_monthly_1_0y_itd": "10 Year\/Life", "tip.field.perf_monthly_1y": "1 year", "tip.field.perf_monthly_3y": "3 year", "tip.field.perf_monthly_5y": "5 year", "tip.field.perf_monthly_y_t_d": "YTD", "tip.field.perf_quarterly_1_0y_itd": "10 year\/Life", "tip.field.perf_quarterly_1y": "1 year", "tip.field.perf_quarterly_3y": "3 year", "tip.field.perf_quarterly_5y": "5 year", "tip.field.perf_quarterly_y_t_d": "YTD", "tip.field.performance_1_month": "1 month", "tip.field.performance_1_month_annualized": "1 month", "tip.field.performance_1_week_annualized": "1 week", "tip.field.performance_1_year": "12 mo. return at NAV (%)", "tip.field.performance_1_year_annualized": "12 mo. return at NAV (%)", "tip.field.performance_2_years": "2 Years", "tip.field.performance_3_months": "3 months", "tip.field.performance_3_months_annualized": "3 months", "tip.field.performance_3_years": "3 Years", "tip.field.performance_4_years": "4 Years", "tip.field.performance_5_years": "5 Years", "tip.field.performance_6_months": "6 months", "tip.field.performance_6_months_annualized": "6 months", "tip.field.performance_daily_annualized": "Daily", "tip.field.performance_date": "Performance date", "tip.field.performance_decimal": "Performance decimals", "tip.field.performance_fees": "Rate", "tip.field.performance_fees_detail": "Performance objective", "tip.field.performance_fees_threshold": "Threshold", "tip.field.performance_ytd": "YTD at NAV (%)", "tip.field.performance_ytd_annualized": "YTD at NAV (%)", "tip.field.politic_dividend_period_detachment": "Dividend policy \/ Ex-coupon date", "tip.field.pop_ data": "Sales charge \/ CDSC", "tip.field.pop_data": "Sales charges\/CDSC", "tip.field.premium_discount": "Premium \/ Discount", "tip.field.product_range": "Product range", "tip.field.products.list": "Products List", "tip.field.purchase_requires": "Purchase requires board approval", "tip.field.quarterly_gross_expense_ratio_value": "Gross Expense Ratio", "tip.field.reference_indicator": "Reference indicator", "tip.field.reinvestment_price": "Reinvestment Price", "tip.field.release_date": "Inception date", "tip.field.risk_profile_srri": "SRRI", "tip.field.risk_profile_srri_1-7": "Level of risk (1-7)", "tip.field.sec_link": "SEC Filings (EDGAR online)", "tip.field.share_label": "Fund name", "tip.field.share_type": "Share type", "tip.field.short_term_cap_gains": "Short-Term Cap Gains", "tip.field.souscription": "Max purchase fees", "tip.field.taxable_equity_market_distribution_rate": "Taxable Equiv Mkt Distr Rate", "tip.field.trading_currency": "Listing currencies", "tip.field.trading_place": "Stock exchanges", "tip.field.variation_vl_montant": "Nav Change", "tip.field.vl_pop": "POP", "tip.field.wal": "WAL", "tip.field.wam": "WAM", "tip.field.weekly_liquid_assets": "Weekly Liquid Assets", "tip.filter.affect_result": "Type of share", "tip.filter.asset_class_level_2": "Asset class", "tip.filter.asset_class_n_1": "Asset class level 1", "tip.filter.asset_class_n_2": "Asset class level 2", "tip.filter.asset_manager": "Asset Manager", "tip.filter.class_type": "Class", "tip.filter.class_type_aggregation": "Group of class", "tip.filter.compartment_label": "Sub-fund", "tip.filter.country": "Country", "tip.filter.currency": "Currency", "tip.filter.eligibility": "Eligibility", "tip.filter.fund_label": "Fund", "tip.filter.fund_label_translated": "Fund", "tip.filter.geographical_area": "Regions", "tip.filter.investment_term": "Investment period", "tip.filter.label.all": "All", "tip.filter.management_company": "Asset manager", "tip.filter.management_strategy": "Management strategy", "tip.filter.product_range": "Exposure", "tip.filter.product_range_amundi_3": "Range Amundi 3", "tip.filter.registration_country_type": "Country\/Type of registration", "tip.filter.risk_profile_srri": "Risk & Reward Profile (SRRI)", "tip.footnote.perf_ann_monthly_1_0y_itd": "Total return since inception is quoted for funds with less than 10 years of operation.", "tip.footnote.perf_ann_monthly_1_0y_itd_e_o_p": "Total return since inception is quoted for funds with less than 10 years of operation.", "tip.footnote.perf_ann_monthly_y_t_d": "Cumulative total return.", "tip.footnote.perf_ann_quarterly_1_0y_itd": "Total return since inception is quoted for funds with less than 10 years of operation.", "tip.footnote.perf_ann_quarterly_1_0y_itd_e_o_p": "Total return since inception is quoted for funds with less than 10 years of operation.", "tip.footnote.perf_ann_quarterly_y_t_d": "Cumulative total return.", "tip.footnote.perf_monthly_1_0y_itd": "Total return since inception is quoted for funds with less than 10 years of operation.", "tip.footnote.perf_monthly_y_t_d": "Cumulative total return.", "tip.footnote.performance_1_year": "Performance for periods prior to the inception of Y shares reflects the NAV performance of the Fund's A shares. The performance does not reflect differences in expenses, including the Rule 12b-1 fees applicable to A shares. Since fees for A shares are generally higher than those of Y shares, the performance shown for Y shares prior to their inception would have been higher.", "tip.footnote.performance_1_year_annualized": "Performance for periods prior to the inception of Y shares reflects the NAV performance of the Fund's A shares. The performance does not reflect differences in expenses, including the Rule 12b-1 fees applicable to A shares. Since fees for A shares are generally higher than those of Y shares, the performance shown for Y shares prior to their inception would have been higher.", "tip.footnote.performance_ytd": "Performance for periods prior to the inception of Y shares reflects the NAV performance of the Fund's A shares. The performance does not reflect differences in expenses, including the Rule 12b-1 fees applicable to A shares. Since fees for A shares are generally higher than those of Y shares, the performance shown for Y shares prior to their inception would have been higher.", "tip.footnote.performance_ytd_annualized": "Performance for periods prior to the inception of Y shares reflects the NAV performance of the Fund's A shares. The performance does not reflect differences in expenses, including the Rule 12b-1 fees applicable to A shares. Since fees for A shares are generally higher than those of Y shares, the performance shown for Y shares prior to their inception would have been higher.", "tip.footnote.pop_data": "with = POP; without=NAV", "tip.footnote.vl_pop": "The performance of Class C shares does not reflect the 1% front-end sales charge in effect prior to 2\/1\/04. If you paid a 1% sales load your returns would be lower than those shown. Class C Shares held for less than one year are subject to a 1% CDSC.", "tip.fund_research_constants.labels.search_placeholder": "Search", "tip.fund_research_filter_summary.labels.reset_research": "New search", "tip.fund_research.filter.labels.result_count": "{count, plural, =0 {No result} =1 {#result} other {# results}} for this search", "tip.fund_result_action_list.actions.comparator": "Cochez les fonds à sélectionner puis cliquer ICI pour les comparer", "tip.fund_result_action_list.actions.export": "Export data", "tip.fund_result_action_list.actions.sort": "Sort by", "tip.fund_result_action_list.display_mode.label": "Display Mode", "tip.fund_result_action_list.display_mode.list": "List", "tip.fund_result_action_list.display_mode.table": "Array", "tip.fund_result_card_action.actions.reportings": "{count, plural, =0 {Suscribe to reporting } =1 {Edit my subscription} other {Update my subscriptions}}", "tip.fund_result_card_details.actions.fonds_detail": "Detailed Product Information", "tip.fund_result_card_details.errors.performance_not_available": "The performance of this share ar not available", "tip.fund_result_card_details.labels.accrued_performance_period": "Cumulative performance over the period {startDate, date, short} to {endDate, date, short}", "tip.fund_result_card_details.labels.funds_carrier": "Performance of the index on the same period of time", "tip.fund_result_card_details.modal.confirm_unfollowed_fund": "Confirm the suppression of tracked fund ?", "tip.fund_result_card_details.modal.confirm_unfollowed_fund_title": "Confirmation", "tip.fund_result_card_nav_subscription_action.actions.nav": "{count, plural, =0 {Subscribe to NAV notification} =1 {Change my NAV notification} other {Update my notifications on NAV}}", "tip.fund_result_card_threshold_subscription_action.actions.threshold": "{count, plural, =0 {Create a Floor\/Ceiling alert} =1 { Change a Floor\/Ceiling alert } other {Update Floor\/Ceiling alerts }}", "tip.fund_result_column_hyperlink": "Link", "tip.fund_result_data_reader.document_overlay_label": "{count, plural, =0 {No document} =1 {1 document} other {{count} documents}}", "tip.fund_result_help.srri.modal.body": "Scale of risk level 1 (small risk) to 7 (serious risk). The risk level of the funds mostly reflects the risk of the market in which the funds is invested, and when appropriate, the reverse leveraging or performance strategy of the index. The capital initially invested cannot be guaranteed.", "tip.fund_result_table.perfs_modal.reference_indicator_label": "Reference indicator", "tip.fund_result_table.perfs_modal.title": "Reference indicator", "tip.fund.labels.index_performance": "Performance of the index on the same period of time : {indexPerf, number, percent-2-digit}", "tip.fund.modal.main_help.title": "Help", "tip.labels.false": "No", "tip.labels.na": "Disabled", "tip.labels.true": "Yes", "tip.perimeter.all_funds": "All funds", "tip.perimeter.amundi_selection": "Amundi selection", "tip.perimeter.model_portfolio1": "Model Portfolio 1", "tip.perimeter.model_portfolio2": "Model Portfolio 2", "tip.perimeter.model_portfolio3": "Model Portfolio 3", "tip.perimeter.model_portfolio4": "Model Portfolio 4", "tip.perimeter.model_portfolio5": "Model Portfolio 5", "tip.perimeter.retailer_selection": "Retailer selection", "tip.perimeter.title": "Type of funds", "tip.permeter.all_product": "See All Products", "tip.tab.cotation": "Listing", "tip.tab.customize": "Personalization", "tip.tab.documents": "Documents", "tip.tab.general_information": "General information", "tip.tab.group.net_cumulative_performance": "Net cumulative performance", "tip.tab.investment_policy": "Investment policy", "tip.tab.performances": "Performances", "tip.tab.sliding_performance": "Sliding performance", "tip.values.false": "Without Sales Charges", "tip.values.true": "With Sales Charge", "tip.watchlist.actions.display_performance": "View the performance graph", "tip.watchlist.followed.modal.main_help.title": "Help", "tip.watchlist.held.modal.main_help.title": "Help", "tip.watchlist.mandate.modal.main_help.title": "Help", "Tous les Fonds Monétaires": "All Money Market Fund", "一般資料": "general information", "文件": "documents" }