Allianz Rövid Kötvény Befektetési Alap/ HU0000707146 /
NAV27/05/2024 | Var.-0.0028 | Type of yield | Focus sugli investimenti | Società d'investimento |
---|---|---|---|---|
1.6601HUF | -0.17% | - | - | Allianz Alapkezelő Zrt. ▶ |
Funds documents
Data | Documento | Anno | Language | Filesize |
---|---|---|---|---|
24/05/2024 | Public WebStation Live Factsheet | 2024 | English | - |