AB Swiss Funds - Global Balanced Fund Classe R1 USD

YTD 1 month 3 months 6 months 1 year 2 years 3 years 5 years
- +1.13%
31.05.24 - 28.06.24
+0.68%
28.03.24 - 28.06.24
+1.66%
09.02.24 - 28.06.24
- - - -
- 101.92 (H)
21.06.2024
101.92 (H)
21.06.2024
101.92 (H)
21.06.2024
- - - -
- 100.52 (L)
31.05.2024
99.51 (L)
19.04.2024
99.51 (L)
19.04.2024
- - - -