LU0259492931 AB SICAV I Global Plus Fixed Income Ptf1 EUR Hedged Cap |
Last NAV status | Unavailable - Closed Market / Bank Holiday (from 25/04/2018 to 25/04/2018) |
Previous NAV | 24/04/2018 | 22.94 EUR 0.00 % ![]() |
![]() | ![]() |
|
|
LU0259492931 AB SICAV I Global Plus Fixed Income Ptf1 EUR Hedged Cap |
Last NAV status | Unavailable - Closed Market / Bank Holiday (from 25/04/2018 to 25/04/2018) |
Previous NAV | 24/04/2018 | 22.94 EUR 0.00 % ![]() |
![]() | ![]() |
|
|
A subsidiary of |
---|
Incorporating |
---|