Laden... Bitte warten

Historical prices

Return period Return % I/R Sharpe
Intraday - - -
Woche - - -
1 Monat - - -
3 months - - -
6 months - - -
Year to date - - -
1 Jahr - - -
2 years - - -
3 years - - -
4 years - - -
5 years - - -
7 years - - -
10 years - - -
20 years - - -

Nav

Return % -
Nav 20,29
Datum 2020-09-30

Details

Manager Ninety One Asset Management
Fund group Uklassifiserte Obligasjonsfond
Fund type Obligasjonsfond
Währung EUR
Profit share N
ISIN LU1735824986
Active share -
Latest active share date -

Fees

Max subscription fee 5,00 %
Max redemption fee 0,00 %
Annual management fee 0,75 %

Reference index

Name -
Symbol -