Contact Us
Menu
Close menu
About us
Team
Our fund umbrellas
Products
Reports
Responsible Investing
Careers
Contacts
Contact Us
EN
IT
CORE GLOBAL CURRENCIES
ISIN
LU0967516724
NAV Price
5.011
1 Day %
0.24
YTD %
2.7265
NAV Date
2024-11-08
NAV Currency
EUR
Launch Date
2013-10-21
Share Class
Distribution
Documents
PRIIPs KID
Factsheet
Unaudited Statement of Financial Position & Condensed Schedule of Investments
A range of products tailored to you
EMERGING MARKETS DEBT FAM FUND
Learn more
SMART GLOBAL DEFENCE 2029 FAM III
Learn more
FINECO AM CUBE TREND OPPORTUNITY FUND
Learn more
Discover all products
Please select your investor type:
Institutional
Private