Contact Us

SCHRODER EURO BOND FAM FUND

ISIN

IE00BFXY6T41

NAV Price

85.107

1 Day %

-0.0305

YTD %

-1.6877

NAV Date

2024-07-12

NAV Currency

EUR

Launch Date

2018-06-01

Share Class

Distribution


Documents


A range of products tailored to you

Contact us

Please select your investor type: