Advanced Search

LU1995756431   Emirates NBD SICAV Emirates Active Managed Fund A USD D  
Last NAV07/05/20248.135 USD  +0.86  % 
Previous prices
Start date:End date: 
Currency:   


Results from 06/05/2024 to 08/05/2024 in all currencies   
NAV dateNAV# Share Out.TNA ShareTNA Sub-fundTIS BEAKGAKG2ZWG/IPImm.ADDI
   
07/05/20248.135 USD 561 126.2214 564 772.9422 912 504.99------
06/05/2024Unavailable---------

Number of results : 2
Number of pages : 1

   
  Incorporating