FFBH ASSET MANAGEMENT AD
FIB- Classic
Type: Multi-Asset Global Balanced | Currency: EUR | Date of Public Offering: 2007-11-19
| Yield since the beginning of the year | Yield from date of public offering | Yield for the last 12 months | Standard deviation | Net asset value | Net asset value per share | Valid for date |
| 1.95 % | -0.24 % | 2.08 % | 8.39 % | 2844074.36 EUR | 0.4897 EUR | 2026-02-17 |
Notes
Цените са валидни за поръчки подадени до 16 часа, на 17.02.2026 г.