LU0293751193 CT Global Convertible Bond Fund I EUR Dis |
Last NAV status | Unavailable - Closed Market / Bank Holiday (from 14/10/2024 to 14/10/2024) |
Previous NAV | 11/10/2024 | 15.02 EUR +0.54 % |
|
LU0293751193 CT Global Convertible Bond Fund I EUR Dis |
Last NAV status | Unavailable - Closed Market / Bank Holiday (from 14/10/2024 to 14/10/2024) |
Previous NAV | 11/10/2024 | 15.02 EUR +0.54 % |
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Incorporating |
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