€ 3 448,62 (17/05/2013)

 
More info about this fund
Country : France
ISIN code : FR0010373118
Category : Tresorerie régulière
Capitalization / distribution : Capitalization
Frequency NAV : Daily
Commercialized by : BANQUE TARNEAUD SA
Depository : SOCIETE GENERALE
Performances
1 month : +0,01 %
3 months : +0,01 %
1 year : +0,10 %
2 years : +0,70 %
5 years : +3,92 %
Net asset values
First available NAV : € 3 161,13 (25/09/2006)
Last NAV : € 3 448,62 (17/05/2013)
: € 3 448,62 (17/05/2013)
: € 3 161,13 (25/09/2006)
Clik here to download NAV

Performance Calculator
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Amount invested in09/03/2021
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09/03/2021
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time of the Period:
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