NAV23/01/2025 Var.-0.1031 Type of yield Focus sugli investimenti Società d'investimento
119.1717USD -0.09% reinvestment Bonds Bridge Fund Mgmt. 

Funds documents

Data Documento Anno Language Filesize
23/01/2025 Public WebStation Live Factsheet 2025 English -
10/10/2024 Prospetto 2024 English 7,282.28 KB
30/06/2024 Report semestrale 2024 English 13,044.58 KB
20/06/2024 PREN20240620-0002273173.pdf 2024 English 141.17 KB
31/12/2023 Estratto conto 2023 English 21,876.61 KB
24/11/2023 Prospetto 2023 German 12,115.15 KB
30/06/2019 Report semestrale 2019 German 3,508.62 KB
31/12/2018 Estratto conto 2018 German 5,889.53 KB