Funds
Funds |
Today's Returns |
Year to Date (YTD) |
NAV |
Updated |
Redemption |
Subscription |
KIID
|
Local Currency Bonds I EUR Acc
|
-0.01 %
|
-0.61 % |
1933.05
|
12/3 16:30 |
1927.00
|
1939.00
|
|
Funds |
YTD by 1/3-25 |
Latest month |
2024 |
2023 |
3 Years |
5 Years |
7 Years |
10 Years |
Local Currency Bonds I EUR Acc
|
2.66 % |
0.70 % |
2.60 %
|
11.04 %
|
14.08 % |
4.97 % |
12.60 % |
15.58 % |
Funds |
ISIN |
Risk Class
|
Start date |
Total assets mio |
Largest position |
Cash |
Local Currency Bonds I EUR Acc
|
DK0060646636 |
4 |
21-09-2015 |
1 EUR |
Brazil Notas do Teso... |
1.68 % |