123.72
+0.06%
Status:
Technical Period
Last NAV Date:
24/06/27
All Data
Stream Prices | N | Orders | Bid Size | Bid Price | Ask Price | Ask Size | Orders |
---|---|---|---|---|---|---|---|
1 | |||||||
2 | |||||||
3 | |||||||
4 | |||||||
5 |
Denomination | Pharus Sicav Europe Total Return Class Q |
Instrument Type | OICR APERTI |
Market | ATFund |
Segment | |
Isin Code | LU1437803767 |
Alphanumeric Code | PSEAFQ |
Market Status | Technical Period |
Last NAV | 123.72 |
Last NAV Date | 24/06/27 |
Lot Size | 1.00 |
Total Quantity | |
Number Trades |
1 Month Performance | +0.72% |
6 Months Performance | +2.09% |
Performance Year to Date | +1.97% |
1 Year Performance | +4.63% |
Year High | 124.12 |
Year High Date | 24/06/05 |
Year Low | 120.66 |
Year Low Date | 24/02/13 |
Reference Close | 123.72 - 24/06/27 |
Area | |
Issuer | |
Currency Denomination | |
Dividends | |
Legenda |