Nav Information| Last NAV date | 31/03/2026 | | NAV calculation frequency | Every three months | | Currency | EUR | | Previous NAV | 25 780.07 EUR 31/12/2025 | | Variation % | -4.45% | | Number of shares/units outstanding | 200.00 | | Total net assets | 4 926 580.77 EUR | | ADDI | - | | Equity participation rate | - | | Share of the total fund assets | - | | Real estate rate | - |
|  | Statistics| Variation | | Variation since 01/01 | | Variation over one year | | Variation since - | | Variation over one month | | Variation over three months | | Variation over six months | | Highest | | Highest since 01/01 | | Highest over 1 year | | Highest since - | | Lowest | | Lowest since 01/01 | | Lowest over 1 year | | Lowest since - |
|  |
| |