Piraeus International Balanced Fd Of Fds (LP68289676)

4.447 -0.004 (-0.09%)
Closed EUR Disclaimer
66.11M
Day's Range
4.447 - 4.447
52 wk Range
3.928 - 4.456
Prev. Close
4.451
Open
4.447
1-Year Change
10.99%
Total Assets
66.11M
Market Cap
-
ROE
-
ROA
-
Dividend (Yield)
0%
Turnover
-
Min Investment
-
Type
Funds
Market
Greece
Rating
Risk Rating
ISIN
GRF000097003
CUSIP
-
Underlying
-
Expenses
-
Asset Class
Equity
Inception Date
Apr 17, 2001
Strong Sell Strong Buy Sell Neutral Buy
Strong Buy
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PERFORMANCE
YTD
3M %
1Y %
3Y %
5Y %
10Y%
Growth of 1000 1071 1011 1099 1164 1232 2869
Fund Return 7.07% 1.11% 9.89% 5.2% 4.27% 11.12%
Place in category 1060 329 1900 879 763 1
% in Category 40 12 69 39 45 1
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