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    Inversiones Naira SICAV (ES0155531033.BC)

    1.92 Up 0.01(0.52%) May 25
    Prev Close:1.91
    YTD Return*:-2.68%
    Net Assets*:81.68M
    Yield*:N/A

    * As of 30-Apr-16

    Quotes delayed, except where indicated otherwise. Currency in EUR.

    Headlines

    • No Headlines available for ES0155531033.BC at this time.

    Top Holdings

    Symbol% AssetsYTD Return %
    Russian Prosperity Fund (Lux) B5.91N/A
    Odey Swan I EUR Acc5.24N/A
    Amundi Fds Absolute Vol Euro Eqs IE-C5.19N/A
    Schroder GAIA Egerton Equity C EUR3.88N/A
    Belgravia Beta SICAV3.67N/A

    Fund Basics

    Morningstar Overall Rating:N/A
    Total Assets:81.68M
    Category:Other Allocation
    Annual Report Expense Ratio (net):NaN%

    Performance & Risk

    YTD Return:-2.68%
    5y Avg Return:3.05%
    Rank in Category (ytd):
    % Rank in Category (ytd):N/A
    Beta (3y):N/A
    Morningstar Risk Rating:

    Fund Summary

    La política es global. El activo estará invertido en activos de renta fija y variable, IICs, depósitos, instrumentos del mercado monetario y derivados financieros oscilando los porcentajes destinados a cada partida según la coyuntura de los mercados. Los activos podrán estar denominados en monedas distintas del euro. Su objetivo será conseguir la mejor rentabilidad-riesgo en beneficio de los accionistas. View More
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