Multi Manager Access II - Sustainable Investing Balanced: Other legal notices (concern also modifications of regulations and prospectuses) as of 12.11.2024

Fund Name  NAV  Issue Price  Redemption Price  Closing Price  Trading Information SIX YTD Perf.  MyFunds
Multi Manager Access II - Sustainable Investing Balanced CHF-hedged P-acc
LU1852198362
111.17 CHF
19.11.2024
111.17 CHF
19.11.2024
111.17 CHF
19.11.2024
+3.64%
Multi Manager Access II - Sustainable Investing Balanced CHF-hedged Q-acc
LU1852198875
115.89 CHF
19.11.2024
115.89 CHF
19.11.2024
115.89 CHF
19.11.2024
+4.28%
Multi Manager Access II - Sustainable Investing Balanced DKK-hedged P-acc
LU2008288792
1,257.63 DKK
19.11.2024
1,257.63 DKK
19.11.2024
1,257.63 DKK
19.11.2024
+10.95%
Multi Manager Access II - Sustainable Investing Balanced DKK-hedged Q-acc
LU2008289097
1,423.06 DKK
19.11.2024
1,423.06 DKK
19.11.2024
1,423.06 DKK
19.11.2024
+11.63%
Multi Manager Access II - Sustainable Investing Balanced EUR-hedged P-acc
LU1852198446
117.58 EUR
19.11.2024
117.58 EUR
19.11.2024
117.58 EUR
19.11.2024
+6.10%
Multi Manager Access II - Sustainable Investing Balanced EUR-hedged Q-acc
LU1852198958
122.67 EUR
19.11.2024
122.67 EUR
19.11.2024
122.67 EUR
19.11.2024
+6.75%
Multi Manager Access II - Sustainable Investing Balanced GBP-hedged P-acc
LU2033265724
120.05 GBP
19.11.2024
120.05 GBP
19.11.2024
120.05 GBP
19.11.2024
+7.41%
Multi Manager Access II - Sustainable Investing Balanced GBP-hedged Q-acc
LU1852199097
130.59 GBP
19.11.2024
130.59 GBP
19.11.2024
130.59 GBP
19.11.2024
+8.07%
Multi Manager Access II - Sustainable Investing Balanced NOK-hedged P-acc
LU2008288875
1,279.90 NOK
19.11.2024
1,279.90 NOK
19.11.2024
1,279.90 NOK
19.11.2024
+11.76%
Multi Manager Access II - Sustainable Investing Balanced NOK-hedged Q-acc
LU2008289170
1,421.83 NOK
19.11.2024
1,421.83 NOK
19.11.2024
1,421.83 NOK
19.11.2024
+12.45%
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Q
Fund for qualified investors
E
The fund is an ETF / The fund is an ETSF
S
The fund is a Sponsored Fund
* NAV / Issue Price exclusive commissions, for listed funds NAV or closing price