info website equity

NAV

NAV 22-04-2024
Value
Equity Fund
1.479,5128
Managed Fund
2.998,0189
Safe Link Plus
3.604,2461
Stable Link
7.306,6746
Steady Fund
4.916,5512
Steady Fund USD
0,201907
Balanced Fund
1.542,8887
NAV 19-04-2024
Value
Equity Fund
1.477,8358
Managed Fund
2.998,5594
Safe Link Plus
3.604,4194
Stable Link
7.305,2088
Steady Fund
4.924,2849
Steady Fund USD
0,202002
Balanced Fund
1.545,5430
NAV 18-04-2024
Value
Equity Fund
1.499,9946
Managed Fund
3.029,2651
Safe Link Plus
3.605,1141
Stable Link
7.304,3881
Steady Fund
4.936,4506
Steady Fund USD
0,202250
Balanced Fund
1.551,3366