Contact Us

CORE DIVIDEND

ISIN

LU0981915779

NAV Price

10.395

1 Day %

0.5125

YTD %

15.4615

NAV Date

2024-11-08

NAV Currency

EUR

Launch Date

2013-10-21

Share Class

Distribution


Documents


A range of products tailored to you

Contact us

Please select your investor type: