DE Austria (Österreich) Institutionell

Historic Prices

Barings Europe Select Trust

Class I GBP Inc

Stichtag NAV Fondsinformationen
26/02/2020 41.360
25/02/2020 41.710
24/02/2020 42.250
21/02/2020 43.920
20/02/2020 44.340
19/02/2020 43.860
18/02/2020 43.470
17/02/2020 43.840
14/02/2020 43.780
13/02/2020 43.720
12/02/2020 44.040
11/02/2020 43.850
10/02/2020 43.650
07/02/2020 43.580
06/02/2020 44.010
05/02/2020 43.620
04/02/2020 43.120
03/02/2020 42.360
31/01/2020 42.190
30/01/2020 42.600
29/01/2020 43.160
28/01/2020 42.690
27/01/2020 42.520
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