BASE Investments SICAV - Global Fixed Income EUR - I

YTD 1 month 3 months 6 months 1 year 2 years 3 years 5 years
+3.94%
30.12.24 - 04.12.25
+0.01%
04.11.25 - 04.12.25
+1.24%
04.09.25 - 04.12.25
+2.36%
04.06.25 - 04.12.25
+2.78%
04.12.24 - 04.12.25
+9.91%
04.12.23 - 04.12.25
+13.85%
05.12.22 - 04.12.25
+1.67%
04.12.20 - 04.12.25
108.96 (H)
22.10.2025
108.85 (H)
27.11.2025
108.96 (H)
22.10.2025
108.96 (H)
22.10.2025
108.96 (H)
22.10.2025
108.96 (H)
22.10.2025
108.96 (H)
22.10.2025
108.96 (H)
22.10.2025
103.46 (L)
14.01.2025
108.27 (L)
19.11.2025
107.33 (L)
04.09.2025
105.92 (L)
06.06.2025
103.46 (L)
14.01.2025
98.86 (L)
04.12.2023
93.87 (L)
30.12.2022
90.35 (L)
21.10.2022