Advanced Search

LU1298484640  TCW Funds TCW Emerging Markets Local Ccy Inc Fd IG Q Dis  
Last NAV statusUnavailable - Closed Market / Bank Holiday  (from 22/11/2018  to 22/11/2018)
Previous NAV21/11/20181 116.9536 GBP  +0.69  % 
Security information
NAV calculation frequencyDaily
Share class dividend policyIncome
Promoter(s)
TCW Investment Management Co. Inc (US)
Investment type-
Fund tree
List of countries of distribution

More info...

Growth chart
For a better version of the chart, please download the Flash plug in
Documents
Wait
Detailed Security Static Data
Last version of available detailed Static Data are accessible here.

MIFID
-
PRIIPs
-
Services

Additional fund information is available for registered users.

Access to free or premium tools requires login.

Information on registration is on the Access page

  A subsidiary of  
  Incorporating