| LU2872794859 MS Invt Fd Global Convertible Bond Fund Z (EUR) Cap |
| Last NAV | 20/07/2026 | 30.22 EUR +1.10 % ![]() |
General Information
| ||||||||
Belgian Asset Test
| ||||||||
Tax reporting status per country
| ||||||||
Italian asset test If you require further details or to suscribe to these services, please contact [email protected]
| ||||||||



