FEATURES
The Sub-Fund may invest in negotiable debt securities and other short and medium term instruments, fixed and floating rate bonds and money market products, including convertible bonds, as well as equities on an ancillary basis.
NAV PRICE
MEDIOBANCA SICAV SHT TERM CREDIT USD
Date02/21/2025
PriceShare5985.468 €
Historical data
Date
Value €
02/20/2025
5984.283
02/19/2025
5981.737
02/17/2025
5983.2
02/05/2025
5974.21
MEDIOBANCA SICAV SHT TERM CREDIT USD
Date02/21/2025
PriceShare5819.659 €
Historical data
Date
Value €
02/20/2025
5818.587
02/19/2025
5816.19
02/17/2025
5817.772
02/05/2025
5809.99
PRIIPS KID
NOTICES
PERFORM. SCENARIOS
PAST PERFORM.
Please be informed that the performances were achieved under a context and circumstances that no longer apply.
Class IM
LU1753744421
Class F
LU1897323926
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Italiano
Last revision: 18 February 2025