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Return % |
|
-2,05
%
|
Nav |
|
551,70
|
Datum |
|
2025-03-28
|
Beheerder |
|
Handelsbanken NUF
|
Fund group |
|
Globale Fond
|
Fund type |
|
Aksjefond
|
Valuta |
|
NOK
|
Profit share |
|
N
|
ISIN |
|
SE0011309699
|
Active share |
|
96,40
%
|
Latest active share date |
|
2018-05-31
|