| LU1373026084 Fysis Fund SICAV-SIF S.C.A. Fund of Funds A EUR Acc | [AIF] |
| Last NAV | 30/06/2025 | 863.5119 EUR -11.52 % ![]() |
Please wait...

| LU1373026084 Fysis Fund SICAV-SIF S.C.A. Fund of Funds A EUR Acc | [AIF] |
| Last NAV | 30/06/2025 | 863.5119 EUR -11.52 % ![]() |

| Incorporating |
|---|