Search  ok
EN  |  FR  |  ES
 
 
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   Currency:  
Ok
 
Choose your criteria

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
PARVEST EUROPEAN CONVERTIBLE BOND Convertible Bonds Classic Capitalisation LU0086913042 11/19/2009 EUR 115.73 440.43 -0.72
PARVEST EUROPEAN SMALL CONVERTIBLE BOND Convertible Bonds Classic Capitalisation LU0265291665 11/19/2009 EUR 101.24 18.44 -0.71