SABADELL BONOS FLOTANTES EURO, FI BASE
- (Spanish version)
- SABADELL ASSET MANAGEMENT
- EUR LIQUIDITY PLUS
- 2 en una escala del 1 al 7
- 2 aņos.
- 24/04/2024
- 0,23%
- 1,32%
Search for net asset values
Last valuation
- 10,131523 EUR
- 30,42 (In millions of euros)
- 24/04/2024
Calculations made in EUR currency.