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LU0952580347   Melchior Selected Trust European Opp Fund P EUR C  
Last NAV06/02/2025172.6701 EUR  +0.73  % 
Previous prices
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Results from 05/02/2025 to 07/02/2025 in all currencies   
NAV dateNAV# Share Out.TNA ShareTNA Sub-fundTIS BEAKGAKG2ZWG/IPImm.ADDI
   
06/02/2025172.6701 EUR 219 497.584237 900 670.74340 736 378.3------
05/02/2025171.4262 EUR 219 497.584237 627 640.85338 409 979.11------

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