Loading... Please wait.

Nav

Return % -
Nav 220.38
Date 2023-10-09

Details

Manager BNP Paribas Asset Managment
Fund group BNP Paribas
Fund type Aksjefond
Currency EUR
Profit share N
ISIN LU0212178916
Active share -
Latest active share date -

Fees

Max subscription fee 3.00 %
Max redemption fee 0.00 %
Annual management fee 1.75 %

Reference index

Name -
Symbol -