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IE00BBT33G32  SSgA GBP Liquidity Fund Premier Stable NAV Shares  
General information
Share class dividend policy-
Accounting currencyGBP
Legal structureOther fund
Legal statusNon-Luxembourg-domiciled
Fund launch date06/11/1996
Fund end date-
Sub-fund launch date03/03/1997
Sub-fund end date-
Share class/unit launch date03/03/1997
Share class end date-
State Street Global Advisors Liq plc (IE)
Management company-
Asset manager (UCI)-
Fund tree
Countries of distribution
Country of jurisdictionIE
Countries of distribution-
Initial subscription period
UCITS funds
  A subsidiary of