€ 1 881,14 (15/11/2017)

 
More info about this fund
Country : France
ISIN code : FR0007409313
Capitalization / distribution : Capitalization
Frequency NAV : Daily
Commercialized by : GROUPE SOCIETE GENERALE
Depository : SOCIETE GENERALE
Performances
1 month : +0,66 %
3 months : +4,58 %
1 year : +3,40 %
2 years : +4,09 %
5 years : +54,17 %
Net asset values
First available NAV : € 2 306,87 (30/11/1990)
Last NAV : € 1 881,14 (15/11/2017)
: € 5 792,10 (17/07/1998)
: € 682,90 (13/03/2003)
Clik here to download NAV

Performance Calculator
Please enter the amount invested in EUR or the number of shares bought and the purchase date in the fields below.
Beginning date :
/ /
End date :
/ /
Number of shares bought:
Amount invested in €:
Initial amount invested
0,00 €
Amount invested in16/10/2019
0,00 €
16/10/2019
-
Number of shares owned on the 16/10/2019
0,00
time of the Period:
1 year

Videos
Gestionnaires,
Emetteurs,
My favourite companies
Most read news
Dissemination technology Webdisclosure.com - copyright 2019 SYMEX ECONOMICS all rights reserved