| LU2083915772 LOF Asia Investment Grade Bond N JPY SYS NAV Hedged Cap |
| Last NAV status | Unavailable - Dormant share (from 11/11/2021) |
| Previous NAV | 10/11/2021 | 9 781 JPY +0.67 % ![]() |
|
| LU2083915772 LOF Asia Investment Grade Bond N JPY SYS NAV Hedged Cap |
| Last NAV status | Unavailable - Dormant share (from 11/11/2021) |
| Previous NAV | 10/11/2021 | 9 781 JPY +0.67 % ![]() |
|
| Incorporating |
|---|