Popso (Suisse) Investment Fund SICAV - Global Balanced USD - Bh

YTD 1 month 3 months 6 months 1 year 2 years 3 years 5 years
- +0.86%
01.12.25 - 30.12.25
+1.47%
30.09.25 - 30.12.25
+4.22%
30.06.25 - 30.12.25
+8.45%
07.05.25 - 30.12.25
- - -
- 10.96 (H)
24.12.2025
10.96 (H)
24.12.2025
10.96 (H)
24.12.2025
10.96 (H)
24.12.2025
- - -
- 10.86 (L)
17.12.2025
10.71 (L)
21.11.2025
10.50 (L)
01.07.2025
10.10 (L)
07.05.2025
- - -