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Return % 0,06 %
Nav 97,23
Datum 2025-04-24

Details

Beheerder Nomura Asset Managem. UK LTD
Fund group Nomura Asset Management
Fund type Obligasjonsfond
Valuta GBP
Profit share N
ISIN IE00BMWHQW67
Active share -
Latest active share date -

Fees

Max subscription fee 0,00 %
Max redemption fee 0,00 %
Annual management fee -

Reference index

Name -
Symbool -