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DE000A2DTMN6   Frankfurter Stiftungsfonds R  
Last NAV16/05/202589.96 EUR  +1.04  % 
Previous prices
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Results from 15/05/2025 to 19/05/2025 in all currencies   
NAV dateNAV# Share Out.TNA ShareTNA Sub-fundTIS BEAKGAKG2ZWG/IPImm.ADDI
   
16/05/202589.96 EUR 84 091.7527 564 515.3420 536 123.73------
15/05/202589.03 EUR 84 582.9387 530 510.1120 360 786.2------

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