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LU1373007969   Lyxor Investment Fds Conservative Allocation SI EUR Cap  
Last NAV22/04/20241 083.2 EUR  +0.17  % 
Previous prices
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Currency:   


Results from 19/04/2024 to 23/04/2024 in all currencies   
NAV dateNAV# Share Out.TNA ShareTNA Sub-fundTIS BEAKGAKG2ZWG/IPImm.ADDI
   
22/04/20241 083.2 EUR 18 578.17920 123 811.58-------
19/04/20241 081.4 EUR 18 578.17920 090 372.04-------

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