SABADELL RENDIMIENTO, FI PLUS

  • Download compact prospectus / KIID in PDF (Spanish version)
  • Download monthly file in PDF
  • SABADELL ASSET MANAGEMENT
  • FI SHORT TERM EUR
  • 1 en una escala del 1 al 7
  • 1 aņo.
  • 24/04/2024
  • 0,22%
  • 1,20%
  • Highlighted by Sabadell Asset Management

Search for net asset values

Last valuation

  • 9,544379 EUR
  • 1.004,60 (In millions of euros)
  • 24/04/2024
Date Place in ascending order Place in descending order Net Asset Value
From 00 to 00 of 000 values

Calculations made in EUR currency.