Features
The Fund invests primarily in euro-denominated corporate bonds. These instruments may be issued by issuers with registered offices in an OECD country and must have a minimum rating of not less than BBB- (minus) by Standard & Poor's or equivalent.
NAV PRICE
MEDIOBANCA EURO RATES TOTAL RETURN
Date01/02/2025
PriceShare149.46 €
Historical data
Date
Value €
12/30/2024
149.063
12/27/2024
149.606
12/23/2024
149.935
12/19/2024
150.309
MEDIOBANCA EURO RATES TOTAL RETURN
Date01/02/2025
PriceShare134.947 €
Historical data
Date
Value €
12/30/2024
134.585
12/27/2024
135.071
12/23/2024
135.362
12/19/2024
135.695
PRIIPS KID
PERFORMANCE SCENARIOS
LU0126234292
LU0135559408
PAST PERFORMANCE
LU0126234292
LU0135559408
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Last revision: 24 April 2024