| LU3278775260 SG IS Fd Global Balanced Allocation Portfolio FE EUR Acc |
| Last NAV | 17/07/2026 | 258.845 EUR -0.70 % ![]() |
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| LU3278775260 SG IS Fd Global Balanced Allocation Portfolio FE EUR Acc |
| Last NAV | 17/07/2026 | 258.845 EUR -0.70 % ![]() |

| Incorporating |
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