€ 12,19 (27/03/2019)

 
More info about this fund
Country : France
ISIN code : FR0007039094
Category : Tresorerie régulière
Capitalization / distribution : Distribution
Commercialized by : PRO BTP
Depository : BNP PARIBAS SECURITIES SERVICE
Performances
3 months : -0,08 %
1 year : -0,33 %
2 years : -0,57 %
5 years : -0,57 %
Net asset values
First available NAV : € 10,00 (17/12/1999)
Last NAV : € 12,19 (27/03/2019)
: € 13,72 (20/05/2017)
: € 10,00 (17/12/1999)
Clik here to download NAV

Performance Calculator
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Amount invested in08/03/2021
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08/03/2021
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Number of shares owned on the 08/03/2021
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time of the Period:
1 year

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