No title exists for this component!
On 11 March 2021, one or more listing lines of this fund were delisted. Please refer to the shareholder letter found here for more information
- NAV as of 01.Oct.2026EUR 145,0952 WK: 145,05 - 154,19
- 1 Day NAV Change as of 01.Oct.2026EUR -0,22(-0,15%)
- NAV Total Return as of 01.Oct.2026YTD: -2,79
- Weighted Average YTM as of 01.Oct.2026