
Return % | 0,17 % | |
Nav | 133,38 | |
Datum | 2025-04-24 |
Manager | Nordea Fondene | |
Fund group | Andre Rentefond | |
Fund type | Obligasjonsfond | |
Währung | NOK | |
Profit share | N | |
ISIN | LU1548767588 | |
Active share | - | |
Latest active share date | - |
Max subscription fee | 0,00 % | |
Max redemption fee | 0,00 % | |
Annual management fee | 0,60 % |
Name | - | |
Symbol | - |