Laden... Bitte warten

Nav

Return % 0,17 %
Nav 2 099,20
Datum 2025-04-24

Details

Manager ODIN Forvaltning
Fund group Norske Fond
Fund type Aksjefond
Währung NOK
Profit share N
ISIN NO0010814429
Active share -
Latest active share date -

Reference index

Name Oslo Børs Mutual Fund Index_GI
Symbol OSEFX