Search
ok
EN
|
FR
|
ES
Home
> Fund prices > Convertible bonds
Other countries
Home
Fund prices
•
All Funds
•
Money Market
•
Fixed Income
•
Convertible bonds
•
Structured Products
•
Asset Allocation
•
Currencies
•
Commodities
•
Equities
•
Sharia Compliant
Fund performance
•
All funds
•
Money Market
•
Fixed Income
•
Convertible bonds
•
Structured Products
•
Allocations d'actifs
•
Currencies
•
Commodities
•
Equities
•
Sharia Compliant
Latest dividends
•
All funds
•
Money Market
•
Fixed Income
•
Structured Products
•
Convertible bonds
•
Asset Allocation
•
Currencies
•
Commodities
•
Equities
•
Sharia Compliant
Fund search
Fund prices
Access fund prices organised by asset class. Default settings will display a table with the most recent NAVs.
Results can be downloaded in Excel format.
NB: The dates you enter must be trading days. Click on the calendar to find out about Public holidays
Date
Share category
Default
Classic (C-EUR) Capitalisation
Classic (C-USD) Capitalisation
Classic Capitalisation
Classic Distribution
Classic Hedged EUR Capitalisation
F Capitalisation
Institutions Capitalisation
Institutions Distribution
L Capitalisation
M Capitalisation
M Distribution
Privilege (B-EUR) Capitalisation
Privilege (B-USD) Capitalisation
Privilege Capitalisation
Currency:
Base currency
CHF
EUR
GBP
USD
|
Ok
Choose your criteria
Select
Money Market
Fixed Income
Convertible bonds
Structured Products
Asset Allocation
Currencies
Commodities
Equities
Sharia Compliant
or
All Funds
Convertible bonds
All Funds
Europe
Asia
Fund
Asset class
Share category
ISIN
Date
Currency
Fund price
Total fund size (mln)
% change
PARVEST ASIAN CONVERTIBLE BOND
Convertible Bonds
Classic Capitalisation
LU0095613583
11/19/2009
USD
328.42
257.73
-0.46
Classic Distribution
LU0095613823
11/19/2009
USD
180.36
257.73
-0.46
Institutions Capitalisation
LU0102025151
11/19/2009
USD
235,664.89
257.73
-0.46
L Capitalisation
LU0107087610
11/19/2009
USD
311.13
257.73
-0.46
Privilege Capitalisation
LU0111466271
11/19/2009
USD
1,818.62
257.73
-0.46
PARVEST EUROPEAN CONVERTIBLE BOND
Convertible Bonds
Classic Capitalisation
LU0086913042
11/19/2009
EUR
115.73
440.43
-0.72
Classic Distribution
LU0102023610
11/19/2009
EUR
84.57
440.43
-0.72
Institutions Capitalisation
LU0086913125
11/19/2009
EUR
125.05
440.43
-0.71
L Capitalisation
LU0107087537
11/19/2009
EUR
109.27
440.43
-0.72
M Capitalisation
LU0107106857
11/19/2009
EUR
131.93
440.43
-0.71
Privilege Capitalisation
LU0111466198
11/19/2009
EUR
848.60
440.43
-0.72
PARVEST EUROPEAN SMALL CONVERTIBLE BOND
Convertible Bonds
Classic Capitalisation
LU0265291665
11/19/2009
EUR
101.24
18.44
-0.71
Classic Distribution
LU0265291822
11/19/2009
EUR
94.18
18.44
-0.71
Institutions Capitalisation
LU0265319003
11/19/2009
EUR
102,735.50
18.44
-0.71
L Capitalisation
LU0265292556
11/19/2009
EUR
99.76
18.44
-0.72
Privilege Capitalisation
LU0265308576
11/19/2009
EUR
825.18
18.44
-0.71
www.bnpparibas-am.com
Legal information
•
Site map