Daily NAV

2005<< November  2006 >>2007
Week Mon Tue Wed Thu fri Sat Sun
44 30 31 01 02 03 04 05
45 06 07 08 09 10 11 12
46 13 14 15 16 17 18 19
47 20 21 22 23 24 25 26
48 27 28 29 30 01 02 03

Date: 02/11/2006

Eurobank EFG Fund Management Company (Lux) S.A.TypeISIN CodeCurrencyPricesLast prices% Yieldbeginning price as of 18/09/06
Eurobank EFG(LF) BOND_Income PlusEUROBANK EFGLU0273951557EUR1.00381.00320.00060.38%1.00
Eurobank EFG(LF) BOND_Gov.Sec.EUROBANK EFGLU0273952522EUR1.00471.00340.00130.47%1.00
Eurobank EFG(LF) BOND_Corp.Sec.EUROBANK EFGLU0273954577EUR1.00851.00550.00300.85%1.00
Eurobank EFG(LF) BOND_SEE EmrgEUROBANK EFGLU0273956358EUR1.00301.00290.00010.30%1.00
Eurobank EFG(LF) BOND_Global EmrgEUROBANK EFGLU0273957166EUR1.00291.00280.00010.29%1.00
Eurobank EFG(LF) EQTY_US GrowthEUROBANK EFGLU0273958487EUR1.02691.00640.02052.69%1.00
Eurobank EFG(LF) EQTY_Eur.GrowthEUROBANK EFGLU0273960111EUR0.99250.9974-0.0049-0.75%1.00
Eurobank EFG(LF) EQTY_SEE EmrgEUROBANK EFGLU0273960897EUR0.98270.9931-0.0104-1.73%1.00
Eurobank EFG(LF) EQTY_Val.FTSE20EUROBANK EFGLU0273962166EUR1.00451.00430.00020.45%1.00
Eurobank EFG(LF) EQTY_MdCapPS50EUROBANK EFGLU0273963727EUR1.00491.00340.00150.49%1.00
Eurobank EFG(LF) EQTY_Inst.PrtfoliosEUROBANK EFGLU0273965003EUR1.00241.00230.00010.24%1.00
Eurobank EFG(LF) BALANCED_GlobalEUROBANK EFGLU0273966076EUR1.00251.00240.00010.25%1.00
Eurobank EFG(LF) MM_Income Plus$EUROBANK EFGLU0273967041USD1.00561.00540.00020.56%1.00
Eurobank EFG(LF) Absolute ReturnEUROBANK EFGLU0273968015EUR1.01221.00190.01030.22%1.00
Eurobank EFG(LF) FOF_Prime IncomeEUROBANK EFGLU0272935650EUR1.00201.0021-0.00010.20%1.00
Eurobank EFG(LF) FOF_Prime GrowthEUROBANK EFGLU0272937516EUR0.99591.0013-0.0054-0.41%1.00
©2021 Eurobank FMC-LUX