Features
Mixed bond sub-fund, which invests primarily in government or corporate bonds, issued or guaranteed by both OECD and non-OECD countries, denominated in any currency.
NAV PRICE
C-Quadrat Euro Investments Plus
Date07/15/2024
PriceShare135.925 €
Historical data
Date
Value €
07/12/2024
135.784
07/11/2024
135.601
07/10/2024
135.37
07/09/2024
135.461
C-Quadrat Euro Investments Plus
Date07/15/2024
PriceShare149.788 €
Historical data
Date
Value €
07/12/2024
149.628
07/11/2024
149.425
07/10/2024
149.169
07/09/2024
149.268
PERFORM. SCENARIOS
LU0473982238
LU0551316432
PAST PERFORM.
LU0473982238
LU0551316432
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Italiano
Last revision: 12 June 2024