Fund Information
Fund Information
Advanced Search
Document Library
Fund Notices and Announcements
New Funds
RSS Feeds
Access
Online Tools
Online Tools
Login
Username
Password
Reset password
Register
English
English
Advanced Search
Document Library
Fund Notices and Announcements
New Funds
RSS Feeds
Access
Advanced Search
Home
/
Fund Information
/
Advanced Search
/
Security
LU1882474403
Amundi Funds Euro Gvt Bd Resp F EUR Acc
Last NAV
13/06/2025
4.428 EUR
-0.52 %
Documents
Taxes
Dividends
Hist. Prices
Price
Order Ref. Data
Security Information
Overview
Previous prices
Login
Start date:
End date:
Currency:
All currencies
EUR
Results from 12/06/2025 to 14/06/2025 in all currencies
NAV date
NAV
# Share Out.
TNA Share
TNA Sub-fund
TIS BE
AKG
AKG2
ZWG/IP
Imm.
ADDI
13/06/2025
4.428 EUR
2 421 775.689
10 724 506.35
-
-
-
-
-
-
-
12/06/2025
4.451 EUR
2 424 015.038
10 788 413.71
-
-
-
-
-
-
-
Number of results : 2
Number of pages : 1
Incorporating