LU1614181029 Credit Suisse (Lux) IRIS Balanced Fund SA-II USD Dis | [AIF] |
Last NAV | 31/03/2024 | 1 052.928 USD +1.19 % |
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LU1614181029 Credit Suisse (Lux) IRIS Balanced Fund SA-II USD Dis | [AIF] |
Last NAV | 31/03/2024 | 1 052.928 USD +1.19 % |
Incorporating |
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