DE000A2JJZ37 Frankfurter Stiftungsfonds A Dis |
Last NAV | 19/05/2025 | 115 467.09 EUR +0.20 % ![]() |
![]() 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]
| ||||||||
![]() |